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

                                    Form 13F

                              Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 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   February 12, 2009
--------------------   --------------   -----------------
     [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:                8
Form 13F Information Table Entry Total:       3,586
Form 13F Information Table Value Total: $41,591,920
                                        (thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.   Form 13F File Number   Name
---   --------------------   -----------------------------------
 1    28-11135               ADVISORport, Inc.
 2    28-4635                Allegiant Asset Management Company
 3    28-12020               National City Bank
 4    28-4750                PNC Bancorp, Inc.
 5    28-4580                PNC Bank, Delaware
 6    28-5284                PNC Bank, National Association
 7    28-12474               PNC Capital Advisors, Inc.
 8    28-11439               PNC Equity Securities, LLC






                                                                                                                    FILE NO. 28-1235
PAGE   1 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        164,259      4,291       X        28-5284      3723               568
                                                                58,645      1,532       X      X 28-5284      1213               319
                                                                59,334      1,550       X      X 28-4580      1550

DEUTSCHE BANK AG               NAMEN AKT      D18190898         19,287        474       X        28-5284       474
                                                                11,393        280       X      X 28-5284       280
                                                                   773         19       X        28-11135       19

AMDOCS LTD                     ORD            G02602103         75,611      4,134       X        28-5284      4134

ARCH CAP GROUP LTD             ORD            G0450A105         41,429        591       X        28-5284       591
                                                               889,499     12,689       X      X 28-5284     12689
                                                               217,450      3,102       X        28-11135     3102
                                                               420,599      6,000       X                     6000

ARGO GROUP INTL HLDGS LTD      COM            G0464B107         52,712      1,554       X      X 28-5284      1230               324

ASPEN INSURANCE HOLDINGS LTD   SHS            G05384105         16,611        685       X        28-5284       685
                                                                 1,479         61       X      X 28-5284        61

ASSURED GUARANTY LTD           COM            G0585R106        143,640     12,600       X        28-5284     12600

AXIS CAPITAL HOLDINGS          SHS            G0692U109         32,032      1,100       X      X 28-5284      1100

ACCENTURE LTD BERMUDA          CL A           G1150G111     26,204,719    799,168       X        28-5284    755521             43647
                                                             9,026,005    275,267       X      X 28-5284    249592      4823   20852
                                                               386,397     11,784       X        28-11135    11784
                                                               421,188     12,845       X        28-4580     12845
                                                               174,541      5,323       X      X 28-4580      4573               750

BROOKFIELD INFRAST PARTNERS    LP INT UNIT    G16252101          1,299        116       X        28-5284       116
                                                                 1,109         99       X      X 28-5284        99
                                                                    11          1       X        28-11135        1
                                                                 1,523        136       X      X 28-4580       136

BUNGE LIMITED                  COM            G16962105        313,882      6,063       X        28-5284       944              5119
                                                                90,442      1,747       X      X 28-5284      1447               300
                                                               395,419      7,638       X        28-11135     7638

CASTLEPOINT HOLDINGS LTD       COM            G19522112        275,404     20,310       X        28-11135    20310

CDC CORP                       SHS A          G2022L106          1,035        900       X      X 28-5284       900

CONSOLIDATED WATER CO INC      ORD            G23773107         12,188        975       X        28-5284       975
               COLUMN TOTAL                                 39,509,915







                                                                                                                    FILE NO. 28-1235
PAGE   2 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COOPER INDS LTD                CL A           G24182100        102,831      3,518       X        28-5284      2898               620
                                                               749,662     25,647       X      X 28-5284     23915              1732
                                                                87,690      3,000       X      X 28-4580      3000

COVIDIEN LTD                   COM            G2552X108        993,012     27,401       X        28-5284     23811              3590
                                                               853,235     23,544       X      X 28-5284     20874      1145    1525
                                                                17,178        474       X        28-4580       374               100
                                                                43,923      1,212       X      X 28-4580      1212

ENDURANCE SPECIALTY HLDGS LT   SHS            G30397106         59,839      1,960       X        28-5284      1960
                                                                64,113      2,100       X      X 28-5284      1700               400

ENSTAR GROUP LIMITED           SHS            G3075P101        544,088      9,200       X        28-5284      9200
                                                               177,420      3,000       X      X 28-5284      3000

ASA LIMITED                    COM            G3156P103          6,324        124       X        28-5284       124
                                                             2,550,000     50,000       X      X 28-5284     50000

EVEREST RE GROUP LTD           COM            G3223R108            305          4       X      X 28-5284         4
                                                                 5,406         71       X        28-11135       71

FOSTER WHEELER LTD             *W EXP 09/24/2 G36535121         12,560        200       X        28-5284       200

FOSTER WHEELER LTD             SHS NEW        G36535139         63,220      2,704       X        28-5284      2704
                                                                23,380      1,000       X      X 28-5284       400               600

FRONTLINE LTD                  SHS            G3682E127         48,560      1,640       X        28-5284      1640
                                                                34,881      1,178       X      X 28-5284      1178
                                                                59,220      2,000       X      X 28-4580      2000

GARMIN LTD                     ORD            G37260109         86,265      4,500       X        28-5284      4385               115
                                                               120,579      6,290       X      X 28-5284      4290              2000
                                                                 9,374        489       X        28-11135      489

GREENLIGHT CAPITAL RE LTD      CLASS A        G4095J109         64,950      5,000       X      X 28-5284      5000

HELEN OF TROY CORP LTD         COM            G4388N106          1,441         83       X        28-11135       83

HERBALIFE LTD                  COM USD SHS    G4412G101          1,409         65       X        28-5284        65
               COLUMN TOTAL                                  6,780,865







                                                                                                                    FILE NO. 28-1235
PAGE   3 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101      6,264,027    361,039       X        28-5284    321934             39105
                                                             6,250,650    360,268       X      X 28-5284    327960       475   31833
                                                                58,487      3,371       X        28-11135     3371
                                                                71,725      4,134       X        28-4580      4134
                                                               122,803      7,078       X      X 28-4580      5806              1272

INVESCO LTD                    SHS            G491BT108         16,490      1,142       X        28-5284      1142

IPC HLDGS LTD                  ORD            G4933P101            987         33       X        28-5284        33

JINPAN INTL LTD                ORD            G5138L100        116,080      8,000       X      X 28-5284      8000

KNIGHTSBRIDGE TANKERS LTD      ORD            G5299G106          2,930        200       X      X 28-5284       200

LAZARD LTD                     SHS A          G54050102            952         32       X      X 28-5284        32

MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105        277,525     41,608       X        28-5284     39983              1625
                                                                30,515      4,575       X      X 28-5284      4225               350
                                                                53,760      8,060       X        28-11135     8060
                                                                26,013      3,900       X        28-4580      3900

MONTPELIER RE HOLDINGS LTD     SHS            G62185106        508,754     30,301       X        28-11135    30301

NABORS INDUSTRIES LTD          SHS            G6359F103      2,122,413    177,311       X        28-5284    159976             17335
                                                               143,808     12,014       X      X 28-5284      8709      1050    2255
                                                                   251         21       X        28-11135       21
                                                                23,006      1,922       X        28-4580      1922

NOBLE CORPORATION              SHS            G65422100        153,724      6,959       X        28-5284      6959
                                                                61,189      2,770       X      X 28-5284      1770              1000
                                                                 4,241        192       X        28-4580       192

NORDIC AMERICAN TANKER SHIPP   COM            G65773106        111,476      3,303       X        28-5284      3303
                                                               113,063      3,350       X      X 28-5284      3350

OPENTV CORP                    CL A           G67543101         27,526     22,379       X      X 28-5284               22379

PARTNERRE LTD                  COM            G6852T105          1,283         18       X        28-5284        18
                                                                   214          3       X      X 28-5284         3
                                                                   713         10       X        28-11135       10

PLATINUM UNDERWRITER HLDGS L   COM            G7127P100          2,706         75       X        28-5284        75
               COLUMN TOTAL                                 16,567,311







                                                                                                                    FILE NO. 28-1235
PAGE   4 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QIAO XING UNIVERSAL TELEPHON   ORD            G7303A109          1,395        750       X        28-5284       750

RENAISSANCERE HOLDINGS LTD     COM            G7496G103          5,723        111       X        28-5284       111
                                                                   103          2       X      X 28-5284         2

SEAGATE TECHNOLOGY             SHS            G7945J104          2,525        570       X        28-5284       570
                                                                    58         13       X      X 28-5284        13
                                                                   133         30       X        28-11135       30

SHIP FINANCE INTERNATIONAL L   SHS            G81075106          8,089        732       X        28-5284       732
                                                                   420         38       X      X 28-5284        38

SIGNET JEWELERS LIMITED        SHS            G81276100          7,578        874       X        28-5284       874
                                                                39,648      4,573       X        28-11135     4573

SYNCORA HOLDINGS LTD           SHS            G8649T109             94        550       X        28-5284       550

UTI WORLDWIDE INC              ORD            G87210103        167,247     11,663       X      X 28-5284                       11663

TEXTAINER GROUP HOLDINGS LTD   SHS            G8766E109         49,173      4,639       X        28-11135     4639

TRANSOCEAN INC NEW             SHS            G90073100          3,119         66       X        28-5284        66

TYCO INTL LTD BERMUDA          SHS            G9143X208      1,616,090     74,819       X        28-5284     69511              5308
                                                             1,072,872     49,670       X      X 28-5284     44883      3405    1382
                                                                26,179      1,212       X      X 28-4580      1212

TYCO ELECTRONICS LTD           COM NEW        G9144P105      1,121,732     69,200       X        28-5284     66060              3140
                                                               393,141     24,253       X      X 28-5284     18661      4037    1555
                                                                    16          1       X        28-11135        1
                                                                   405         25       X        28-4580        25
                                                                19,647      1,212       X      X 28-4580      1212

VISTAPRINT LIMITED             SHS            G93762204         18,610      1,000       X        28-5284      1000
                                                                 8,933        480       X      X 28-5284       480

WEATHERFORD INTERNATIONAL LT   COM            G95089101        972,383     89,869       X        28-5284     84869              5000
                                                               353,392     32,661       X      X 28-5284     31280       831     550
                                                                   757         70       X        28-11135       70
                                                                55,831      5,160       X        28-4580      4254               906
                                                                26,801      2,477       X      X 28-4580      2477

WHITE MTNS INS GROUP LTD       COM            G9618E107         53,422        200       X      X 28-5284       200
               COLUMN TOTAL                                  6,025,516







                                                                                                                    FILE NO. 28-1235
PAGE   5 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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      2,011,100     80,832       X        28-5284     49989             30843
                                                               918,818     36,930       X      X 28-5284      8557             28373
                                                                 6,071        244       X        28-11135      244

XOMA LTD                       ORD            G9825R107          1,860      3,000       X        28-5284      3000

XL CAP LTD                     CL A           G98255105          7,637      2,064       X        28-5284      2064
                                                                 4,237      1,145       X      X 28-5284       845               300

ACE LTD                        SHS            H0023R105        398,011      7,521       X        28-5284      7521
                                                               442,041      8,353       X      X 28-5284      7628               725
                                                               929,857     17,571       X        28-11135    17571

ALCON INC                      COM SHS        H01301102      9,270,676    103,943       X        28-5284    101458              2485
                                                             5,899,205     66,142       X      X 28-5284     62257       300    3585
                                                                 1,962         22       X        28-11135       22
                                                               235,997      2,646       X        28-4580      2646
                                                                63,057        707       X      X 28-4580       707

LOGITECH INTL S A              SHS            H50430232          5,843        375       X        28-5284       375
                                                               196,604     12,619       X        28-11135    12619

UBS AG                         SHS NEW        H89231338         37,995      2,657       X        28-5284      2657
                                                                40,455      2,829       X      X 28-5284      2727               102

MILLICOM INTL CELLULAR S A     SHS NEW        L6388F110         44,910      1,000       X      X 28-5284                        1000

ALLOT COMMUNICATIONS LTD       SHS            M0854Q105        141,232     85,595       X      X 28-5284               85595

ALVARION LTD                   SHS            M0861T100         10,890      3,000       X      X 28-5284      3000

CELLCOM ISRAEL LTD             SHS            M2196U109          4,420        200       X        28-5284       200
                                                                22,100      1,000       X      X 28-5284      1000

CHECK POINT SOFTWARE TECH LT   ORD            M22465104         91,684      4,828       X        28-5284      4828
                                                                46,810      2,465       X      X 28-5284      2465
                                                                43,316      2,281       X      X 28-4580      2281

ECTEL LTD                      ORD            M29925100         20,566     34,858       X      X 28-5284               34858

ELBIT SYS LTD                  ORD            M3760D101        873,824     18,800       X      X 28-5284     13300              5500

JACADA LTD                     ORD            M6184R101         27,645      9,215       X      X 28-5284                9215
               COLUMN TOTAL                                 21,798,823







                                                                                                                    FILE NO. 28-1235
PAGE   6 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MIND C T I LTD                 ORD            M70240102      1,230,710  1,465,131       X      X 28-5284             1465131

RADVISION LTD                  ORD            M81869105        129,360     24,000       X      X 28-5284               24000

TEFRON LTD                     ORD            M87482101          3,600     12,000       X      X 28-5284               12000

AERCAP HOLDINGS NV             SHS            N00985106          3,010      1,000       X      X 28-5284      1000

ASM INTL N V                   COM            N07045102          1,219        140       X        28-5284       140

ASML HOLDING N V               NY REG SHS     N07059186          1,572         87       X        28-5284        87

CNH GLOBAL N V                 SHS NEW        N20935206          2,699        173       X        28-5284       173

CORE LABORATORIES N V          COM            N22717107          2,514         42       X        28-5284        42
                                                                77,818      1,300       X      X 28-5284      1300
                                                                 3,472         58       X        28-11135       58

QIAGEN N V                     ORD            N72482107         15,927        907       X        28-5284       907
                                                               103,358      5,886       X      X 28-5284      5886

BANCO LATINOAMERICANO DE EXP   CL E           P16994132        220,153     15,331       X        28-11135    15331

ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103         50,490      3,672       X        28-5284      3672
                                                                 6,806        495       X      X 28-5284       495
                                                               159,720     11,616       X        28-11135    11616

DIANA SHIPPING INC             COM            Y2066G104         10,208        800       X        28-5284       800
                                                                92,510      7,250       X      X 28-5284      7250

DRYSHIPS INC                   SHS            Y2109Q101          3,731        350       X        28-5284       350
                                                                 5,330        500       X      X 28-5284       500

EAGLE BULK SHIPPING INC        COM            Y2187A101        103,494     15,175       X      X 28-5284     15175
                                                                 2,728        400       X      X 28-4580       400

FLEXTRONICS INTL LTD           ORD            Y2573F102      1,119,795    437,420       X        28-5284    391920             45500
                                                                85,583     33,431       X      X 28-5284     32931               500

GENCO SHIPPING & TRADING LTD   SHS            Y2685T107          6,734        455       X        28-5284       455
                                                                15,348      1,037       X        28-11135     1037
               COLUMN TOTAL                                  3,457,889







                                                                                                                    FILE NO. 28-1235
PAGE   7 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SEASPAN CORP                   SHS            Y75638109         23,114      2,600       X        28-5284      2600
                                                               279,368     31,425       X      X 28-5284     19750             11675
                                                                26,670      3,000       X        28-4580                        3000

STAR BULK CARRIERS CORP        COM            Y8162K105         13,766      5,390       X        28-5284      5390

TEEKAY LNG PARTNERS L P        PRTNRSP UNITS  Y8564M105         46,562      3,100       X      X 28-5284      1100              2000

TEEKAY CORPORATION             COM            Y8564W103          1,965        100       X        28-5284       100
                                                                10,808        550       X      X 28-5284       550

TEEKAY TANKERS LTD             CL A           Y8565N102         76,200      6,000       X      X 28-5284      6000

VERIGY LTD                     SHS            Y93691106         31,534      3,278       X        28-5284      3233                45
                                                                28,908      3,005       X      X 28-5284      2545               460
                                                                   346         36       X        28-4580        36

AAR CORP                       COM            000361105          5,891        320       X        28-5284                         320

ABB LTD                        SPONSORED ADR  000375204      9,157,181    610,072       X        28-5284    591373             18699
                                                             5,600,621    373,126       X      X 28-5284    333885      4865   34376
                                                               311,202     20,733       X        28-11135    20733
                                                               349,943     23,314       X        28-4580     22932               382
                                                                67,440      4,493       X      X 28-4580      4493

ACCO BRANDS CORP               COM            00081T108          9,588      2,779       X        28-5284      2779
                                                                15,442      4,476       X      X 28-5284      4351               125

A D C TELECOMMUNICATIONS       COM NEW        000886309            520         95       X        28-5284        95
                                                                77,127     14,100       X      X 28-5284       550             13550

ABM INDS INC                   COM            000957100          6,858        360       X        28-5284                         360

AFLAC INC                      COM            001055102      4,365,435     95,232       X        28-5284     81850             13382
                                                             3,121,658     68,099       X      X 28-5284     56722       400   10977
                                                               341,783      7,456       X        28-11135     7456

AGCO CORP                      COM            001084102          1,038         44       X        28-5284        44
                                                                   448         19       X      X 28-5284        19

AGL RES INC                    COM            001204106         36,053      1,150       X        28-5284      1150
                                                               239,138      7,628       X      X 28-5284      5678              1950
               COLUMN TOTAL                                 24,246,607







                                                                                                                    FILE NO. 28-1235
PAGE   8 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
A H BELO CORP                  COM CL A       001282102            412        189       X        28-5284       189
                                                                   150         69       X      X 28-5284        69

AES CORP                       COM            00130H105        111,207     13,496       X        28-5284     12648               848
                                                                66,497      8,070       X      X 28-5284      8070

AK STL HLDG CORP               COM            001547108         28,314      3,038       X        28-5284      3038
                                                                28,323      3,039       X      X 28-5284      3039

AMB PROPERTY CORP              COM            00163T109        222,537      9,502       X        28-5284      9422                80
                                                                12,647        540       X      X 28-5284       540

AMAG PHARMACEUTICALS INC       COM            00163U106         17,925        500       X        28-5284       500

AMR CORP                       COM            001765106          3,735        350       X        28-5284       350
                                                                   640         60       X      X 28-5284        60

AT&T INC                       COM            00206R102    130,545,390  4,580,540       X        28-5284   4362958            217582
                                                            94,054,104  3,300,144       X      X 28-5284   3011377     23910  264857
                                                             1,410,807     49,502       X        28-11135    49502
                                                             3,615,225    126,850       X        28-4580    126645               205
                                                             3,063,237    107,482       X      X 28-4580    105559       425    1498

ATMI INC                       COM            00207R101          6,002        389       X        28-5284       119               270

ATP OIL & GAS CORP             COM            00208J108          1,755        300       X      X 28-5284       300

A S DAMPSKIBSSELSKABET TORM    SPONSORED ADR  00208W109          1,598        147       X        28-5284       147

ATC TECHNOLOGY CORP            COM            00211W104        804,650     55,000       X      X 28-5284     55000
                                                               115,870      7,920       X        28-11135     7920

AU OPTRONICS CORP              SPONSORED ADR  002255107          4,132        538       X        28-5284       538
                                                                   207         27       X      X 28-5284        27

AVX CORP NEW                   COM            002444107          9,528      1,200       X      X 28-5284                        1200

AXT INC                        COM            00246W103          2,700      2,000       X      X 28-5284      2000

AARON RENTS INC                COM            002535201         12,032        452       X        28-5284                         452
               COLUMN TOTAL                                234,139,624







                                                                                                                    FILE NO. 28-1235
PAGE   9 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ABBOTT LABS                    COM            002824100     74,038,973  1,387,277       X        28-5284   1337723             49554
                                                           104,403,355  1,956,218       X      X 28-5284   1820650     10295  125273
                                                               238,991      4,478       X        28-11135     4478
                                                             1,395,892     26,155       X        28-4580     26155
                                                             2,661,669     49,872       X      X 28-4580     48550      1322

ABERCROMBIE & FITCH CO         CL A           002896207        407,001     17,642       X        28-5284     16672               970
                                                               456,648     19,794       X      X 28-5284     19794
                                                               145,641      6,313       X        28-11135     6313

ABERDEEN ASIA PACIFIC INCOM    COM            003009107         53,101     12,349       X      X 28-5284      9849              2500

ABIOMED INC                    COM            003654100        357,956     21,800       X      X 28-5284     21800

ABRAXIS BIOSCIENCE INC NEW     COM            00383Y102          4,944         75       X      X 28-5284        75

ACADIA RLTY TR                 COM SH BEN INT 004239109            471         33       X      X 28-5284        33

ACCESS INTEGRATED TECHNLGS I   CL A           004329108          1,480      4,000       X        28-5284      4000

ACCURAY INC                    COM            004397105         30,960      6,000       X      X 28-5284      6000

ACERGY S A                     SPONSORED ADR  00443E104          6,370      1,102       X        28-5284      1102
                                                                 2,890        500       X      X 28-5284       500

ACME UTD CORP                  COM            004816104        246,750     35,000       X        28-5284                       35000

ACTEL CORP                     COM            004934105          2,461        210       X        28-5284                         210

ACTIVE POWER INC               COM            00504W100          1,282      4,006       X      X 28-5284      4006

ACTIVIDENTITY CORP             COM            00506P103         35,800     20,000       X      X 28-5284               20000

ACTIVISION BLIZZARD INC        COM            00507V109         14,800      1,713       X        28-5284      1433               280
                                                                 3,802        440       X      X 28-5284       440
                                                                23,008      2,663       X        28-11135     2663
                                                                10,886      1,260       X      X 28-4580      1260

ACTUANT CORP                   CL A NEW       00508X203         19,743      1,038       X        28-5284      1038
                                                               229,001     12,040       X      X 28-5284     12040
                                                                   133          7       X        28-11135        7

ACUITY BRANDS INC              COM            00508Y102         11,869        340       X        28-5284                         340
               COLUMN TOTAL                                184,805,877







                                                                                                                    FILE NO. 28-1235
PAGE  10 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ACXIOM CORP                    COM            005125109            673         83       X        28-5284        83

ADAMS EXPRESS CO               COM            006212104         14,454      1,800       X        28-5284      1800
                                                                15,787      1,966       X      X 28-5284      1966

ADAPTEC INC                    COM            00651F108          2,211        670       X        28-5284                         670
                                                               985,736    298,708       X      X 28-5284              298708

ADMINISTAFF INC                COM            007094105          4,119        190       X        28-5284                         190
                                                                   759         35       X        28-11135       35

ADOBE SYS INC                  COM            00724F101        932,715     43,810       X        28-5284     32742             11068
                                                               755,646     35,493       X      X 28-5284     32301              3192
                                                                20,268        952       X        28-11135      952

ADTRAN INC                     COM            00738A106         10,714        720       X        28-5284       720
                                                                43,152      2,900       X      X 28-5284      2900

ADVANCE AMER CASH ADVANCE CT   COM            00739W107            440        233       X        28-5284       233

ADVANCE AUTO PARTS INC         COM            00751Y106          2,557         76       X        28-5284        76
                                                                 4,307        128       X        28-11135      128

ADVANTAGE ENERGY INCOME FD     TR UNIT        00762L101         32,417      7,700       X        28-5284      5700              2000
                                                                29,470      7,000       X      X 28-5284      2000      5000

ADVANTEST CORP                 SPON ADR NEW   00762U200          9,112        558       X        28-5284       558
                                                                85,830      5,256       X        28-11135     5256

ADVANCED MEDICAL OPTICS INC    COM            00763M108            734        111       X        28-5284       111
                                                                31,041      4,696       X      X 28-5284      4696
                                                                   350         53       X      X 28-4580        53

ADVENT CLAY GBL CONV SEC INC   COM BENE INTER 007639107          7,008      1,200       X      X 28-5284      1200

AEROPOSTALE                    COM            007865108         31,701      1,969       X        28-5284      1969
                                                                 2,946        183       X      X 28-5284       183

ADVANCED MICRO DEVICES INC     COM            007903107          2,916      1,350       X        28-5284      1350
                                                                64,800     30,000       X      X 28-5284     30000
               COLUMN TOTAL                                  3,091,863







                                                                                                                    FILE NO. 28-1235
PAGE  11 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AEGON N V                      NY REGISTRY SH 007924103        125,047     20,669       X        28-5284     20669
                                                               259,745     42,933       X      X 28-5284     41584      1001     348
                                                               175,571     29,020       X        28-11135    29020

ADVANTA CORP                   CL A           007942105         83,838     72,274       X        28-5284     10176             62098

ADVANTA CORP                   CL B           007942204        325,369    155,679       X        28-5284    155679

ADVANCED ENERGY INDS           COM            007973100          2,687        270       X        28-5284                         270
                                                               381,244     38,316       X        28-11135    38316

ADVENT SOFTWARE INC            COM            007974108            959         48       X        28-5284        48

AEROVIRONMENT INC              COM            008073108         99,387      2,700       X      X 28-5284                        2700

AES TR III                     PFD CV 6.75%   00808N202         85,050      2,250       X        28-5284      2250
                                                                80,514      2,130       X      X 28-5284      2130

AETNA INC NEW                  COM            00817Y108        836,361     29,346       X        28-5284     25244              4102
                                                             1,436,144     50,391       X      X 28-5284     49892               499
                                                                34,029      1,194       X        28-11135     1194
                                                                11,400        400       X        28-4580       400

AFFILIATED COMPUTER SERVICES   CL A           008190100          6,893        150       X        28-5284       150
                                                             1,739,208     37,850       X      X 28-5284     37850
                                                                   735         16       X        28-11135       16

AFFILIATED MANAGERS GROUP      COM            008252108          9,222        220       X        28-5284                         220
                                                                 1,006         24       X        28-11135       24

AFFYMETRIX INC                 COM            00826T108            598        200       X        28-5284       200

AGILENT TECHNOLOGIES INC       COM            00846U101      1,316,390     84,222       X        28-5284     78636              5586
                                                             1,764,002    112,860       X      X 28-5284    107209       805    4846
                                                                 6,330        405       X        28-4580       510-              915
                                                                15,161        970       X      X 28-4580       610       360

AGILYSYS INC                   COM            00847J105         34,320      8,000       X      X 28-5284      8000

AGNICO EAGLE MINES LTD         COM            008474108        133,971      2,610       X        28-5284      1000              1610
                                                               213,533      4,160       X      X 28-5284      3910               250
               COLUMN TOTAL                                  9,178,714







                                                                                                                    FILE NO. 28-1235
PAGE  12 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AGRIUM INC                     COM            008916108         20,478        600       X        28-5284       600
                                                                10,239        300       X      X 28-5284       300
                                                                33,004        967       X        28-11135      967

AIR METHODS CORP               COM PAR $.06   009128307          1,119         70       X      X 28-5284        70
                                                                   943         59       X        28-11135       59

AIR PRODS & CHEMS INC          COM            009158106     14,461,925    287,685       X        28-5284    274400             13285
                                                            14,236,363    283,198       X      X 28-5284    246841      7375   28982
                                                                 4,373         87       X        28-11135       87
                                                               142,264      2,830       X        28-4580      2830
                                                               242,955      4,833       X      X 28-4580      4833

AIRGAS INC                     COM            009363102        322,252      8,265       X        28-5284      8265
                                                               564,068     14,467       X      X 28-5284     14467
                                                               430,606     11,044       X        28-11135    11044

AIXTRON AKTIENGESELLSCHAFT     SPONSORED ADR  009606104          3,582        526       X        28-5284       526

AKAMAI TECHNOLOGIES INC        COM            00971T101      1,062,336     70,400       X        28-5284     63500              6900
                                                                50,552      3,350       X      X 28-5284      3350
                                                               201,678     13,365       X        28-11135    13365

ALABAMA AIRCRAFT IND INC       COM            01023E100          2,364      1,399       X      X 28-5284                1399

ALASKA AIR GROUP INC           COM            011659109          3,218        110       X        28-5284       100                10

ALASKA COMMUNICATIONS SYS GR   COM            01167P101          4,690        500       X      X 28-5284       500

ALBEMARLE CORP                 COM            012653101        119,773      5,371       X        28-5284      5371
                                                                58,047      2,603       X      X 28-5284      1003              1600

ALBERTO CULVER CO NEW          COM            013078100          1,103         45       X        28-5284        45
                                                                 5,515        225       X      X 28-5284       225

ALCOA INC                      COM            013817101      4,015,958    356,657       X        28-5284    334107             22550
                                                             3,781,491    335,834       X      X 28-5284    320095       295   15444
                                                                97,084      8,622       X        28-11135     8622
                                                                64,069      5,690       X        28-4580      5490               200
                                                                91,983      8,169       X      X 28-4580      8169
               COLUMN TOTAL                                 40,034,032







                                                                                                                    FILE NO. 28-1235
PAGE  13 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALCATEL-LUCENT                 SPONSORED ADR  013904305         19,494      9,067       X        28-5284      8484               583
                                                                20,911      9,726       X      X 28-5284      9434               292
                                                                27,421     12,754       X        28-11135    12754
                                                                    30         14       X        28-4580        14
                                                                   671        312       X      X 28-4580       312

ALDILA INC                     COM NEW        014384200          1,481        625       X        28-5284       625
                                                               802,762    338,718       X      X 28-5284              338718

ALEXANDER & BALDWIN INC        COM            014482103         50,120      2,000       X        28-5284      2000
                                                               296,961     11,850       X      X 28-5284      8100              3750

ALESCO FINL INC                COM            014485106          2,200      5,000       X      X 28-5284      5000

ALEXANDRIA REAL ESTATE EQ IN   COM            015271109        522,544      8,660       X        28-5284      8660
                                                                30,170        500       X      X 28-5284       500

ALEXION PHARMACEUTICALS INC    COM            015351109          1,267         35       X        28-5284        35

ALFACELL CORP                  COM            015404106          2,016      8,400       X        28-5284      8400

ALICO INC                      COM            016230104         58,616      1,430       X      X 28-5284                1430

ALIGN TECHNOLOGY INC           COM            016255101         96,714     11,053       X        28-5284     11053
                                                               580,414     66,333       X      X 28-5284     35333             31000

ALKERMES INC                   COM            01642T108            628         59       X        28-11135       59

ALLEGHANY CORP DEL             COM            017175100     32,704,386    115,973       X      X 28-5284     78485             37488

ALLEGHENY ENERGY INC           COM            017361106        248,160      7,329       X        28-5284      7329
                                                             2,481,193     73,278       X      X 28-5284      2903             70375
                                                                 3,386        100       X      X 28-4580       100

ALLEGHENY TECHNOLOGIES INC     COM            01741R102        299,212     11,720       X        28-5284     11495               225
                                                               847,264     33,187       X      X 28-5284     32512               675
                                                               381,137     14,929       X        28-11439    14929
                                                                 1,277         50       X      X 28-4580        50
               COLUMN TOTAL                                 39,480,435







                                                                                                                    FILE NO. 28-1235
PAGE  14 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLERGAN INC                   COM            018490102     11,112,111    275,598       X        28-5284    270011              5587
                                                             9,359,159    232,122       X      X 28-5284    230337       600    1185
                                                               298,368      7,400       X        28-11135     7400
                                                               338,688      8,400       X        28-4580      8400
                                                               267,564      6,636       X      X 28-4580      6636

ALLETE INC                     COM NEW        018522300         38,692      1,199       X      X 28-5284      1199
                                                                34,497      1,069       X        28-11135     1069

ALLIANCE DATA SYSTEMS CORP     COM            018581108        134,239      2,885       X        28-5284      2825                60
                                                               170,346      3,661       X      X 28-5284      3661
                                                                88,779      1,908       X        28-11135     1908

ALLIANCE FIBER OPTIC PRODS I   COM            018680108        881,811  1,371,401       X      X 28-5284             1371401

ALLIANCE RES PARTNER L P       UT LTD PART    01877R108         83,005      3,088       X        28-5284      3088
                                                               174,720      6,500       X      X 28-5284      6000               500

ALLIANCEBERNSTEIN GBL HGH IN   COM            01879R106        153,867     20,219       X        28-5284     20219
                                                               105,954     13,923       X      X 28-5284     11484      2439

ALLIANT ENERGY CORP            COM            018802108         32,798      1,124       X        28-5284      1124
                                                               274,759      9,416       X      X 28-5284      4116              5300
                                                                27,137        930       X        28-4580       930

ALLIANT TECHSYSTEMS INC        COM            018804104        136,187      1,588       X        28-5284      1588
                                                               343,126      4,001       X      X 28-5284         1              4000

ALLIANZ SE                     SP ADR 1/10 SH 018805101         40,515      3,741       X        28-5284      3741
                                                                17,891      1,652       X      X 28-5284      1652
                                                               306,012     28,256       X        28-11135    28256

ALLIANCEBERNSTEIN INCOME FUN   COM            01881E101        224,478     31,706       X        28-5284     31706
                                                               715,738    101,093       X      X 28-5284     51927             49166
                                                                44,399      6,271       X        28-4580      6271

ALLIANCEBERNSTEIN HOLDING LP   UNIT LTD PARTN 01881G106         40,374      1,942       X        28-5284       942              1000
                                                               289,376     13,919       X      X 28-5284     13719               200

ALLIED CAP CORP NEW            COM            01903Q108         24,398      9,070       X        28-5284      7050              2020
                                                                19,909      7,401       X      X 28-5284      7401
                                                                 4,837      1,798       X        28-4580      1798
               COLUMN TOTAL                                 25,783,734







                                                                                                                    FILE NO. 28-1235
PAGE  15 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLIED IRISH BKS P L C         SPON ADR ORD   019228402        190,522     40,623       X        28-5284     35579              5044
                                                               375,439     80,051       X      X 28-5284     80051
                                                                   389         83       X        28-11135       83
                                                                 3,452        736       X        28-4580       736

ALLSCRIPT MISYS HEALTCAR SOL   COM            01988P108          2,976        300       X        28-5284       300
                                                                42,160      4,250       X      X 28-5284      4250

ALLSTATE CORP                  COM            020002101     10,768,212    328,700       X        28-5284    304203             24497
                                                            11,861,086    362,060       X      X 28-5284    349381       125   12554
                                                               817,395     24,951       X        28-11135    24951
                                                               144,832      4,421       X        28-4580      4421
                                                                51,892      1,584       X      X 28-4580      1584

ALMOST FAMILY INC              COM            020409108        141,687      3,150       X        28-5284      3150
                                                               840,226     18,680       X      X 28-5284     18680
                                                             4,085,848     90,837       X        28-4580     90837

ALPHA NATURAL RESOURCES INC    COM            02076X102         46,676      2,883       X        28-5284      2883
                                                                12,952        800       X      X 28-5284       200               600

ALPHARMA INC                   CL A           020813101         12,929        350       X        28-5284                         350

ALPINE GLOBAL PREMIER PPTYS    COM SBI        02083A103          8,840      2,238       X        28-5284      2238

ALPINE TOTAL DYNAMIC DIVID F   COM SBI        021060108         15,450      2,500       X        28-5284      2500
                                                                33,990      5,500       X      X 28-5284       500              5000

ALSIUS CORPORATION             COM            021211107            189        421       X      X 28-5284                 421

ALTAIR NANOTECHNOLOGIES INC    COM            021373105          1,220      1,000       X        28-5284      1000
                                                                13,420     11,000       X      X 28-5284                       11000

ALTERA CORP                    COM            021441100      1,004,873     60,136       X        28-5284     12836             47300
                                                               519,681     31,100       X      X 28-5284                       31100

ALTIGEN COMMUNICATIONS INC     COM            021489109         71,984     81,800       X      X 28-5284               81800

ALTRIA GROUP INC               COM            02209S103     22,816,397  1,515,033       X        28-5284   1369079       259  145695
                                                            60,929,025  4,045,752       X      X 28-5284   1554296      2795 2488661
                                                               466,468     30,974       X        28-11135    30974
                                                               825,017     54,782       X        28-4580     54782
                                                               677,474     44,985       X      X 28-4580     44985
               COLUMN TOTAL                                116,782,701







                                                                                                                    FILE NO. 28-1235
PAGE  16 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALTUS PHARMACEUTICALS INC      COM            02216N105          1,855      3,500       X        28-5284      3500

ALUMINA LTD                    SPONSORED ADR  022205108         18,310      4,278       X        28-5284      4278

ALUMINUM CORP CHINA LTD        SPON ADR H SHS 022276109            432         32       X        28-5284        32

AMAZON COM INC                 COM            023135106        810,480     15,805       X        28-5284     13360              2445
                                                               511,108      9,967       X      X 28-5284      9517               450
                                                                   462          9       X        28-11135        9
                                                                15,384        300       X        28-4580       300

AMBAC FINL GROUP INC           COM            023139108            390        300       X        28-5284       300
                                                                26,182     20,140       X      X 28-5284       140     20000

AMCOL INTL CORP                COM            02341W103         13,618        650       X        28-5284       650
                                                                   838         40       X      X 28-5284        40

AMEDISYS INC                   COM            023436108          8,681        210       X      X 28-5284       210
                                                                 2,067         50       X        28-11135       50

AMEREN CORP                    COM            023608102        327,578      9,849       X        28-5284      7949              1900
                                                               328,675      9,882       X      X 28-5284      9882
                                                                86,975      2,615       X      X 28-4580      2615

AMERICA FIRST TAX EX IVS L P   BEN UNIT CTF   02364V107         50,907     10,305       X        28-5284     10305

AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105      2,634,088     84,998       X        28-5284     80260              4738
                                                             1,561,121     50,375       X      X 28-5284     44521       100    5754
                                                                10,847        350       X        28-4580       350
                                                                 1,550         50       X      X 28-4580        50

AMERICA MOVIL SAB DE CV        SPON ADR A SHS 02364W204        191,792      6,225       X        28-5284      6225

AMERICAN AXLE & MFG HLDGS IN   COM            024061103            153         53       X        28-11135       53

AMERICAN BANCORP N J INC       COM            02407E104        357,000     30,000       X      X 28-5284     30000

AMER BIO MEDICA CORP           COM            024600108          1,200      5,000       X      X 28-5284      5000

AMERICAN CAMPUS CMNTYS INC     COM            024835100        214,794     10,488       X        28-5284     10488
                                                                11,059        540       X      X 28-5284       540
               COLUMN TOTAL                                  7,187,546







                                                                                                                    FILE NO. 28-1235
PAGE  17 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 CAP LTD               COM            02503Y103         21,410      6,608       X        28-5284      5088              1520
                                                                19,058      5,882       X      X 28-5284      4882              1000

AMERICAN EAGLE OUTFITTERS NE   COM            02553E106         69,358      7,410       X        28-5284      7410

AMERICAN ECOLOGY CORP          COM NEW        025533407          2,428        120       X        28-5284       120
                                                                   728         36       X      X 28-5284        36

AMERICAN ELEC PWR INC          COM            025537101      1,078,405     32,404       X        28-5284     30639              1765
                                                             2,542,259     76,390       X      X 28-5284     31504             44886
                                                                 1,930         58       X        28-11135       58
                                                                19,336        581       X        28-4580       581
                                                                45,827      1,377       X      X 28-4580       835               542

AMERICAN EQTY INVT LIFE HLD    COM            025676206          2,576        368       X        28-5284       368

AMERICAN EXPRESS CO            COM            025816109      9,261,755    499,286       X        28-5284    467947             31339
                                                             8,602,767    463,761       X      X 28-5284    398039       700   65022
                                                                13,857        747       X        28-11135      747
                                                                50,808      2,739       X        28-4580      2739
                                                                72,345      3,900       X      X 28-4580      3900

AMERICAN FINL GROUP INC OHIO   COM            025932104        103,418      4,520       X        28-5284       143              4377

AMERICAN GREETINGS CORP        CL A           026375105          7,328        968       X        28-5284       968
                                                                 1,514        200       X      X 28-5284       200

AMERICAN INCOME FD INC         COM            02672T109        284,505     48,750       X      X 28-5284                       48750

AMERICAN INDEPENDENCE CORP     COM NEW        026760405         98,821     36,198       X      X 28-5284               36198

AMERICAN INTL GROUP INC        COM            026874107        679,050    432,516       X        28-5284    373768             58748
                                                               285,902    182,103       X      X 28-5284    158922      1500   21681
                                                                   290        185       X        28-11135      185
                                                                14,771      9,408       X        28-4580      9243               165
                                                                   550        350       X      X 28-4580       350

AMERICAN LD LEASE INC          COM            027118108            843         61       X      X 28-5284        61

AMERICAN MED SYS HLDGS INC     COM            02744M108          1,708        190       X        28-5284       190
                                                                44,051      4,900       X      X 28-5284      4900

AMERICAN OIL & GAS INC NEW     COM            028723104          2,000      2,500       X      X 28-5284      2500
               COLUMN TOTAL                                 23,329,598







                                                                                                                    FILE NO. 28-1235
PAGE  18 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 ORIENTAL BIOENGR IN   COM            028731107            679        100       X        28-5284       100

AMERICAN PUBLIC EDUCATION IN   COM            02913V103         13,240        356       X        28-5284       356

AMERICAN SCIENCE & ENGR INC    COM            029429107         51,772        700       X      X 28-5284       700

AMERICAN SELECT PORTFOLIO IN   COM            029570108        299,884     31,600       X      X 28-5284                       31600

AMERICAN STS WTR CO            COM            029899101          8,245        250       X        28-5284       100               150
                                                                39,576      1,200       X      X 28-5284                        1200

AMERICAN TOWER CORP            NOTE  3.000% 8 029912AR3      6,964,000      5,000       X        28-11439     5000

AMERICAN TOWER CORP            CL A           029912201     12,217,937    416,710       X        28-5284    387844             28866
                                                             3,448,208    117,606       X      X 28-5284    100865      3409   13332
                                                                49,316      1,682       X        28-11135     1682
                                                               173,633      5,922       X        28-4580      5922
                                                                56,969      1,943       X      X 28-4580      1943

AMERICAN STRATEGIC INCOME II   COM            03009T101        472,140     54,900       X      X 28-5284                       54900

AMERICAN STRATEGIC INCM PTFL   COM            030098107        111,360     12,800       X      X 28-5284                       12800

AMERN STRATEGIC INCOME PTFL    COM            030099105        517,140     61,200       X      X 28-5284                       61200

AMERICAN SUPERCONDUCTOR CORP   COM            030111108        212,030     13,000       X      X 28-5284     10000              3000

AMERICREDIT CORP               NOTE 0.750%    03060RAP6        201,930        500       X        28-11439      500

AMERICREDIT CORP               COM            03060R101            481         63       X        28-5284        63

AMERISTAR CASINOS INC          COM            03070Q101         31,968      3,700       X      X 28-5284      3700

AMERISAFE INC                  COM            03071H100         77,090      3,755       X        28-11135     3755

AMERON INTL INC                COM            030710107          1,699         27       X        28-5284        27

AMERISOURCEBERGEN CORP         COM            03073E105         59,267      1,662       X        28-5284      1662
                                                                98,208      2,754       X      X 28-5284      2754
                                                               148,488      4,164       X        28-11135     4164

AMERIGROUP CORP                COM            03073T102            945         32       X        28-11135       32
               COLUMN TOTAL                                 25,256,205







                                                                                                                    FILE NO. 28-1235
PAGE  19 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AMERIPRISE FINL INC            COM            03076C106        421,882     18,060       X        28-5284     16859              1201
                                                               546,227     23,383       X      X 28-5284     20293              3090
                                                                   467         20       X        28-4580        20

AMERIGAS PARTNERS L P          UNIT L P INT   030975106         54,854      1,950       X        28-5284      1950
                                                               136,431      4,850       X      X 28-5284      4850

AMETEK INC NEW                 COM            031100100        126,852      4,199       X        28-5284      4199
                                                               989,378     32,750       X      X 28-5284     32750
                                                                20,603        682       X        28-11135      682

AMGEN INC                      COM            031162100     41,676,096    721,664       X        28-5284    676727             44937
                                                            19,142,219    331,467       X      X 28-5284    278455      4549   48463
                                                               502,367      8,699       X        28-11135     8699
                                                               449,873      7,790       X        28-4580      7590               200
                                                               356,953      6,181       X      X 28-4580      6181

AMKOR TECHNOLOGY INC           COM            031652100            218        100       X        28-5284       100
                                                                94,830     43,500       X      X 28-5284     43500

AMPAL AMERN ISRAEL CORP        CL A           032015109             13         22       X        28-5284                          22

AMPCO-PITTSBURGH CORP          COM            032037103         10,850        500       X        28-5284       500
                                                                21,700      1,000       X      X 28-5284                        1000

AMPHENOL CORP NEW              CL A           032095101     16,644,422    694,096       X        28-5284    641085             53011
                                                             5,100,066    212,680       X      X 28-5284    199660      5114    7906
                                                               116,159      4,844       X        28-11135     4844
                                                               242,006     10,092       X        28-4580     10031                61
                                                                93,954      3,918       X      X 28-4580      3918

AMSURG CORP                    COM            03232P405         22,757        975       X        28-5284       975
                                                                23,340      1,000       X      X 28-5284      1000

AMYLIN PHARMACEUTICALS INC     COM            032346108         15,407      1,420       X        28-5284      1100               320
                                                                56,963      5,250       X      X 28-5284      5250

ANADARKO PETE CORP             COM            032511107      3,117,114     80,859       X        28-5284     79019              1840
                                                             4,316,444    111,970       X      X 28-5284    108664      1000    2306
                                                                13,493        350       X        28-11135      350
                                                                46,646      1,210       X        28-4580      1210
                                                                 2,313         60       X      X 28-4580        60
               COLUMN TOTAL                                 94,362,897







                                                                                                                    FILE NO. 28-1235
PAGE  20 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ANALOG DEVICES INC             COM            032654105        225,463     11,854       X        28-5284     11014               840
                                                               365,298     19,206       X      X 28-5284      7395             11811
                                                                11,336        596       X        28-11135      596
                                                                 2,758        145       X        28-4580       145

ANALOGIC CORP                  COM PAR $0.05  032657207          3,001        110       X        28-5284                         110
                                                                   409         15       X      X 28-5284        15

ANCHOR BANCORP WIS INC         COM            032839102            386        140       X        28-5284                         140

ANDERSONS INC                  COM            034164103            132          8       X      X 28-5284         8

ANESIVA INC COM                COM            03460L100             70        200       X      X 28-5284                 200

ANGLO AMERN PLC                ADR NEW        03485P201        133,049     11,450       X        28-5284      8516              2934
                                                               636,892     54,810       X      X 28-5284     53710              1100
                                                               289,164     24,885       X        28-11135    24885

ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206          3,464        125       X        28-5284       125
                                                                31,091      1,122       X      X 28-5284       622               500

ANIKA THERAPEUTICS INC         COM            035255108         46,208     15,200       X        28-5284     15200
                                                                10,032      3,300       X      X 28-5284      3300

ANIXTER INTL INC               COM            035290105         11,385        378       X        28-5284       128               250
                                                                30,120      1,000       X      X 28-5284      1000

ANNALY CAP MGMT INC            COM            035710409        670,761     42,266       X        28-5284     42266
                                                               762,728     48,061       X      X 28-5284     48061

ANNTAYLOR STORES CORP          COM            036115103            121         21       X        28-5284        21
                                                                   444         77       X      X 28-5284        77

ANSYS INC                      COM            03662Q105        165,165      5,922       X        28-5284      5522               400
                                                               717,470     25,725       X      X 28-5284     12025             13700
                                                               157,690      5,654       X        28-11135     5654

ANTHRACITE CAP INC             COM            037023108          2,509      1,125       X        28-5284      1125
                                                               118,826     53,285       X      X 28-5284     53285

ANTIGENICS INC DEL             COM            037032109            480      1,000       X        28-5284      1000
               COLUMN TOTAL                                  4,396,452







                                                                                                                    FILE NO. 28-1235
PAGE  21 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AON CORP                       COM            037389103        683,921     14,972       X        28-5284     14272               700
                                                             1,952,409     42,741       X      X 28-5284     42741
                                                                51,710      1,132       X        28-11135     1132

APACHE CORP                    COM            037411105      5,004,093     67,142       X        28-5284     45584             21558
                                                             6,690,185     89,765       X      X 28-5284     64947             24818
                                                               738,667      9,911       X        28-11135     9911
                                                                24,968        335       X        28-4580       335

APARTMENT INVT & MGMT CO       CL A           03748R101          1,282        111       X        28-5284       111
                                                                   196         17       X      X 28-5284        17

APCO ARGENTINA INC CAYMAN IS   ORD            037489101         13,315        500       X        28-5284       500

APEX BIOVENTURES ACQ CORP      *W EXP 06/07/2 03753Q113             30      1,000       X      X 28-5284      1000

APOGEE ENTERPRISES INC         COM            037598109         10,774      1,040       X        28-5284       800               240
                                                                 5,180        500       X      X 28-5284       500
                                                                   570         55       X        28-11135       55

APOLLO GROUP INC               CL A           037604105      2,183,593     28,499       X        28-5284     27951               548
                                                             2,006,678     26,190       X      X 28-5284     25290               900
                                                                16,243        212       X        28-11135      212
                                                                21,224        277       X        28-4580       277
                                                                 7,662        100       X      X 28-4580       100

APOLLO INVT CORP               COM            03761U106         54,072      5,808       X        28-5284      5808
                                                                94,059     10,103       X      X 28-5284     10103
                                                                   903         97       X        28-11135       97

APPLE INC                      COM            037833100     42,627,375    499,442       X        28-5284    476227             23215
                                                            20,778,372    243,449       X      X 28-5284    230674      1878   10897
                                                             1,054,329     12,353       X        28-11135    12353
                                                             1,020,018     11,951       X        28-4580     11768               183
                                                               446,637      5,233       X      X 28-4580      5083       150

APPLIED INDL TECHNOLOGIES IN   COM            03820C105          5,903        312       X        28-5284                         312
                                                               102,452      5,415       X      X 28-5284      5415

APPLIED MICRO CIRCUITS CORP    COM NEW        03822W406          1,434        365       X        28-5284       365
               COLUMN TOTAL                                 85,598,254







                                                                                                                    FILE NO. 28-1235
PAGE  22 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
APPLIED MATLS INC              COM            038222105      3,070,018    303,062       X        28-5284    279882             23180
                                                             1,604,521    158,393       X      X 28-5284    151128      2000    5265
                                                                   608         60       X        28-11135       60

APTARGROUP INC                 COM            038336103         70,480      2,000       X      X 28-5284      2000

AQUA AMERICA INC               COM            03836W103      1,781,364     86,516       X        28-5284     86516
                                                             2,568,067    124,724       X      X 28-5284    118314              6410
                                                                 6,856        333       X        28-4580       333

ARACRUZ CELULOSE S A           SPON ADR PFD B 038496204          3,384        300       X        28-5284       300
                                                                 2,820        250       X      X 28-5284       250
                                                                   169         15       X        28-11135       15

ARBINET THEXCHANGE INC         COM            03875P100        954,179    636,119       X      X 28-5284              636119

ARBITRON INC                   COM            03875Q108          3,612        272       X        28-5284        52               220

ARC WIRELESS SOLUTIONS INC     COM NEW        03878K207         53,142     17,714       X      X 28-5284               17714

ARCH CHEMICALS INC             COM            03937R102          5,475        210       X        28-5284                         210
                                                               191,406      7,342       X      X 28-5284      7342

ARCELORMITTAL SA LUXEMBOURG    NY REGISTRY SH 03938L104         13,967        568       X        28-5284       368               200
                                                                37,574      1,528       X      X 28-5284      1528

ARCH COAL INC                  COM            039380100        213,383     13,099       X        28-5284     12757               342
                                                               185,657     11,397       X      X 28-5284       197             11200

ARCHER DANIELS MIDLAND CO      COM            039483102      3,439,217    119,293       X        28-5284    110108              9185
                                                             1,891,565     65,611       X      X 28-5284     54991      4500    6120
                                                               684,049     23,727       X        28-11135    23727
                                                                97,301      3,375       X        28-4580      2475               900
                                                                10,811        375       X      X 28-4580       375

ARCTIC CAT INC                 COM            039670104            383         80       X        28-5284                          80

ARENA PHARMACEUTICALS INC      COM            040047102          8,340      2,000       X        28-5284      2000

ARENA RESOURCES INC            COM            040049108          1,039         37       X      X 28-5284        37
                                                               180,282      6,418       X        28-11135     6418

ARES CAP CORP                  COM            04010L103          9,653      1,525       X        28-5284      1525
               COLUMN TOTAL                                 17,089,322







                                                                                                                    FILE NO. 28-1235
PAGE  23 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ARIAD PHARMACEUTICALS INC      COM            04033A100          6,485      7,629       X      X 28-5284      7629

ARIBA INC                      COM NEW        04033V203          1,197        166       X        28-5284       166

ARKANSAS BEST CORP DEL         COM            040790107          7,829        260       X        28-5284        40               220
                                                                 3,011        100       X      X 28-5284       100

ARM HLDGS PLC                  SPONSORED ADR  042068106         18,699      4,857       X        28-5284      4857

ARQULE INC                     COM            04269E107            928        220       X        28-5284                         220

ARRIS GROUP INC                COM            04269Q100          1,836        231       X      X 28-5284       231

ARROW ELECTRS INC              COM            042735100          4,446        236       X        28-5284       236
                                                                28,241      1,499       X      X 28-5284        49              1450

ARROWHEAD RESH CORP            COM            042797100            920      1,000       X        28-5284      1000

ART TECHNOLOGY GROUP INC       COM            04289L107          2,509      1,300       X        28-5284      1300

ARTESIAN RESOURCES CORP        CL A           043113208         42,903      2,700       X        28-5284      2700
                                                                51,643      3,250       X      X 28-5284      3250

ARTHROCARE CORP                COM            043136100          2,051        430       X        28-5284       200               230

ARVINMERITOR INC               COM            043353101          1,394        489       X        28-5284       489
                                                                 2,916      1,023       X      X 28-5284      1023

ASBURY AUTOMOTIVE GROUP INC    COM            043436104            206         45       X      X 28-5284        45

ASCENT MEDIA CORP              COM SER A      043632108         37,718      1,727       X        28-5284       660              1067
                                                                99,809      4,570       X      X 28-5284      3940               630

ASHFORD HOSPITALITY TR INC     COM SHS        044103109            322        280       X        28-5284       280
                                                                39,342     34,210       X      X 28-5284     34210

ASHLAND INC NEW                COM            044209104         20,127      1,915       X        28-5284      1798               117
                                                                13,926      1,325       X      X 28-5284      1325
                                                                   315         30       X        28-4580        30
                                                                 1,461        139       X      X 28-4580       139

ASIA TIGERS FD INC             COM            04516T105          3,249        300       X        28-5284       300
               COLUMN TOTAL                                    393,483







                                                                                                                    FILE NO. 28-1235
PAGE  24 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ASPENBIO PHARMA INC            COM            045346103          6,170      1,000       X        28-5284      1000
                                                                 9,255      1,500       X      X 28-5284      1500

ASSOCIATED BANC CORP           COM            045487105        233,076     11,136       X        28-5284     10916               220
                                                               501,964     23,983       X      X 28-5284      7273      4500   12210
                                                               563,017     26,900       X        28-1500     26900

ASSURANT INC                   COM            04621X108         14,340        478       X        28-5284       478
                                                                   120          4       X      X 28-5284         4
                                                                 2,400         80       X        28-11135       80

ASTEC INDS INC                 COM            046224101         20,991        670       X        28-5284       500               170

ASTORIA FINL CORP              COM            046265104         22,709      1,378       X        28-5284        72              1306
                                                                   132          8       X      X 28-5284         8
                                                                 5,340        324       X        28-11135      324

ASTRAZENECA PLC                SPONSORED ADR  046353108         91,538      2,231       X        28-5284      2231
                                                               447,104     10,897       X      X 28-5284     10297               600
                                                               104,380      2,544       X        28-11135     2544
                                                                   985         24       X        28-4580        24
                                                                82,060      2,000       X      X 28-4580      2000

ASYST TECHNOLOGY CORP          COM            04648X107        249,456    997,825       X      X 28-5284              997825

ATHEROS COMMUNICATIONS INC     COM            04743P108         14,310      1,000       X      X 28-5284      1000

ATLANTIC TELE NETWORK INC      COM NEW        049079205            186          7       X        28-11135        7

ATLAS AMER INC                 COM            049167109         64,984      4,376       X      X 28-5284      4376

ATLAS ENERGY RESOURCES LLC     COM            049303100         12,770      1,000       X      X 28-5284      1000

ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103          1,800        300       X        28-5284       300

ATMEL CORP                     COM            049513104        277,005     88,500       X      X 28-5284     88500

ATMOS ENERGY CORP              COM            049560105        264,018     11,140       X        28-5284      9718              1422
                                                               131,535      5,550       X      X 28-5284      4176              1374

ATWOOD OCEANICS INC            COM            050095108          7,029        460       X        28-5284                         460
                                                               152,739      9,996       X        28-11135     9996
               COLUMN TOTAL                                  3,281,413







                                                                                                                    FILE NO. 28-1235
PAGE  25 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AUDIOVOX CORP                  CL A           050757103            651        130       X        28-5284                         130

AUTODESK INC                   COM            052769106        507,953     25,850       X        28-5284     23850              2000
                                                               465,116     23,670       X      X 28-5284     17470              6200
                                                                39,555      2,013       X        28-11135     2013

AUTOLIV INC                    COM            052800109         99,317      4,628       X        28-5284      4628
                                                                66,097      3,080       X      X 28-5284      3080

AUTOMATIC DATA PROCESSING IN   COM            053015103     28,488,415    724,159       X        28-5284    698769             25390
                                                            22,186,855    563,977       X      X 28-5284    524890      5187   33900
                                                                19,277        490       X        28-11135      490
                                                               348,552      8,860       X        28-4580      8860
                                                               206,535      5,250       X      X 28-4580      5250

AUTOZONE INC                   COM            053332102      1,737,517     12,458       X        28-5284     11654               804
                                                               296,653      2,127       X      X 28-5284      2032                95
                                                               209,066      1,499       X        28-11135     1499

AVANEX CORP                    COM NEW        05348W307            111        106       X      X 28-5284                 106

AVALONBAY CMNTYS INC           COM            053484101        130,792      2,159       X        28-5284      1879               280
                                                                12,722        210       X      X 28-5284       210

AVATAR HLDGS INC               COM            053494100        729,300     27,500       X      X 28-5284     27500
                                                                53,040      2,000       X        28-4580                        2000

AVERY DENNISON CORP            COM            053611109      1,381,992     42,224       X        28-5284     35154              7070
                                                             1,254,541     38,330       X      X 28-5284     37330              1000
                                                                11,750        359       X        28-11135      359
                                                                16,365        500       X      X 28-4580       500

AVID TECHNOLOGY INC            COM            05367P100          2,902        266       X        28-5284                         266
                                                                 7,637        700       X        28-4580       700

AVIGEN INC                     COM            053690103         78,204    102,900       X      X 28-5284              102900

AVIS BUDGET GROUP              COM            053774105             77        110       X      X 28-5284       110

AVISTA CORP                    COM            05379B107          7,752        400       X        28-5284                         400

AVNET INC                      COM            053807103         38,769      2,129       X        28-5284      2129
                                                                 3,587        197       X      X 28-5284       197
               COLUMN TOTAL                                 58,401,100







                                                                                                                    FILE NO. 28-1235
PAGE  26 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AVON PRODS INC                 COM            054303102        659,479     27,444       X        28-5284     21924              5520
                                                               460,078     19,146       X      X 28-5284      4523             14623
                                                                16,605        691       X        28-11135      691

AXA                            SPONSORED ADR  054536107         66,039      2,939       X        28-5284      2939
                                                                20,178        898       X      X 28-5284       687               211
                                                               290,919     12,947       X        28-11135    12947
                                                                 2,539        113       X        28-4580       113

AXCELIS TECHNOLOGIES INC       COM            054540109          1,429      2,801       X        28-5284      2121               680
                                                                 2,164      4,244       X      X 28-5284      4244

AXSYS TECHNOLOGIES INC         COM            054615109         68,575      1,250       X        28-5284      1250

BB&T CORP                      COM            054937107      4,352,300    158,496       X        28-5284    154036              4460
                                                               788,047     28,698       X      X 28-5284     15328      8900    4470
                                                               106,874      3,892       X        28-11135     3892
                                                               269,959      9,831       X        28-4580      9831

B & G FOODS INC NEW            UNIT 99/99/999 05508R205         10,350      1,000       X      X 28-5284      1000
                                                                51,750      5,000       X        28-4580                        5000

BCE INC                        COM NEW        05534B760         44,566      2,175       X        28-5284       575              1600
                                                                 1,229         60       X        28-11135       60

BHP BILLITON PLC               SPONSORED ADR  05545E209         36,265        940       X        28-5284       940
                                                                   231          6       X      X 28-5284         6

BJS WHOLESALE CLUB INC         COM            05548J106         38,268      1,117       X        28-5284       598               519
                                                                 2,604         76       X      X 28-5284        76

BJ SVCS CO                     COM            055482103        441,838     37,861       X        28-5284     33638              4223
                                                                 1,097         94       X      X 28-5284        94

BP PLC                         SPONSORED ADR  055622104     81,927,929  1,752,844       X        28-5284   1687366             65478
                                                            91,309,722  1,953,567       X      X 28-5284   1701937     11414  240216
                                                               327,040      6,997       X        28-11135     6997
                                                             1,427,720     30,546       X        28-4580     30218               328
                                                             5,551,637    118,777       X      X 28-4580     69823      1000   47954

BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107        219,653      2,995       X        28-5284      2795               200
                                                                68,500        934       X      X 28-5284       934
               COLUMN TOTAL                                188,565,584







                                                                                                                    FILE NO. 28-1235
PAGE  27 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BRE PROPERTIES INC             CL A           05564E106         38,612      1,380       X        28-5284      1380
                                                               165,082      5,900       X      X 28-5284      5900

BRT RLTY TR                    SH BEN INT NEW 055645303          3,330        900       X        28-5284       900

BT GROUP PLC                   ADR            05577E101         36,623      1,833       X      X 28-5284      1833
                                                               181,139      9,066       X        28-11135     9066

BMC SOFTWARE INC               COM            055921100         46,151      1,715       X        28-5284      1715
                                                                 8,746        325       X      X 28-5284       325
                                                               280,617     10,428       X        28-11135    10428

B2B INTERNET HOLDRS TR         DEPOSTRY RCPT  056033103             54        234       X      X 28-5284       234

BADGER METER INC               COM            056525108         11,608        400       X        28-5284       400

BAIDU COM INC                  SPON ADR REP A 056752108            914          7       X        28-5284         7
                                                                13,057        100       X      X 28-5284       100

BAKER MICHAEL CORP             COM            057149106         36,910      1,000       X        28-5284      1000

BAKER HUGHES INC               COM            057224107      2,194,294     68,422       X        28-5284     58220             10202
                                                             1,302,395     40,611       X      X 28-5284     36771       325    3515
                                                               181,452      5,658       X        28-11135     5658
                                                                63,691      1,986       X        28-4580      1686               300
                                                                48,682      1,518       X      X 28-4580      1518

BALCHEM CORP                   COM            057665200        476,777     19,140       X      X 28-5284     19140

BALDOR ELEC CO                 COM            057741100          8,747        490       X        28-5284       100               390
                                                                 8,925        500       X      X 28-5284       500

BALDWIN TECHNOLOGY INC         CL A           058264102          6,880      4,000       X        28-5284      4000

BALL CORP                      COM            058498106      1,458,395     35,066       X        28-5284     34966               100
                                                             1,743,869     41,930       X      X 28-5284     39910              2020
                                                                 8,318        200       X        28-4580       200
                                                                96,489      2,320       X      X 28-4580      2320

BALLARD PWR SYS INC            COM            05858H104          1,243      1,100       X      X 28-5284      1100

BALLY TECHNOLOGIES INC         COM            05874B107          6,416        267       X        28-5284       267
               COLUMN TOTAL                                  8,429,416







                                                                                                                    FILE NO. 28-1235
PAGE  28 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BANCFIRST CORP                 COM            05945F103        199,985      3,779       X        28-11135     3779

BANCO BILBAO VIZCAYA ARGENTA   SPONSORED ADR  05946K101         67,746      5,424       X        28-5284      5424
                                                                   212         17       X        28-11135       17

BANCO SANTANDER SA             ADR            05964H105        196,196     20,674       X        28-5284     20674
                                                                 1,196        126       X      X 28-5284       126
                                                               366,096     38,577       X        28-11135    38577

BANCORPSOUTH INC               COM            059692103         84,096      3,600       X        28-5284      3600
                                                                 2,406        103       X      X 28-5284       103

BANCROFT FUND LTD              COM            059695106      1,020,014     91,976       X        28-5284     91976

BANK OF AMERICA CORPORATION    COM            060505104     55,501,431  3,941,863       X        28-5284   3725411       460  215992
                                                            56,001,271  3,977,363       X      X 28-5284   3808655     26015  142693
                                                               356,618     25,328       X        28-11135    25328
                                                               888,673     63,116       X        28-4580     61336              1780
                                                               572,084     40,631       X      X 28-4580     39751       378     502

BANK FLA CORP NAPLES           COM            062128103          2,105        500       X        28-5284       500

BANK HAWAII CORP               COM            062540109         27,102        600       X        28-5284       600
                                                                90,340      2,000       X      X 28-5284      2000

BANK KY FINL CORP              COM            062896105          9,788        450       X        28-5284       250               200

BANK MONTREAL QUE              COM            063671101         18,625        725       X      X 28-5284       725

BANK MUTUAL CORP NEW           COM            063750103          1,673        145       X        28-5284       145

BANK OF NEW YORK MELLON CORP   COM            064058100     13,392,611    472,736       X        28-5284    436433             36303
                                                             6,598,284    232,908       X      X 28-5284    218920      5022    8966
                                                               824,630     29,108       X        28-11135    29108
                                                               264,121      9,323       X        28-4580      7814              1509
                                                                20,171        712       X      X 28-4580       712

BANK NOVA SCOTIA HALIFAX       COM            064149107      3,016,480    110,900       X        28-5284    110900

BANK SOUTH CAROLINA CORP       COM            065066102          3,438        275       X      X 28-5284       275
               COLUMN TOTAL                                139,527,392







                                                                                                                    FILE NO. 28-1235
PAGE  29 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BANKRATE INC                   COM            06646V108          1,026         27       X        28-5284        27

BANNER CORP                    COM            06652V109         28,531      3,032       X        28-4580      3032

BAR HBR BANKSHARES             COM            066849100         51,500      2,000       X      X 28-5284      2000

BARCLAYS BK PLC                DJAIG CMDT ETN 06738C778     13,930,067    395,853       X        28-5284    394686              1167
                                                             1,136,531     32,297       X      X 28-5284     31452       845
                                                               320,440      9,106       X        28-4580      6106              3000
                                                               290,634      8,259       X      X 28-4580      7700               559

BARCLAYS BK PLC                IPSP CROIL ETN 06738C786         19,058        819       X        28-5284       819
                                                                 4,654        200       X      X 28-5284       200

BARCLAYS PLC                   ADR            06738E204         38,455      3,924       X        28-5284      3924
                                                                 1,764        180       X      X 28-5284       180
                                                                25,882      2,641       X        28-11135     2641

BARD C R INC                   COM            067383109     34,301,235    407,088       X        28-5284    391989             15099
                                                            17,094,248    202,875       X      X 28-5284    191314      3382    8179
                                                                18,369        218       X        28-11135      218
                                                               987,106     11,715       X        28-4580     11565               150
                                                               275,699      3,272       X      X 28-4580      2972       300

BARCLAYS BK PLC                ETN IPTH NCKL  06739F119          1,798        100       X        28-5284       100

BARCLAYS BK PLC                IPMS INDIA ETN 06739F291         14,080        445       X        28-5284       445
                                                                 1,993         63       X        28-11135       63

BARCLAYS BK PLC                ADR 2 PREF 2   06739F390         51,455      4,100       X        28-5284      4100
                                                                10,040        800       X      X 28-5284       800

BARCLAYS BANK PLC              ETN IPTH AGRI  06739H206          4,027        100       X        28-5284       100
                                                               358,403      8,900       X      X 28-4580      8900

BARCLAYS BANK PLC              ADR PFD SR 5   06739H362         18,024      1,200       X        28-5284      1200

BARCLAYS BANK PLC              ADS7.75%PFD S4 06739H511         43,065      2,900       X        28-5284      2900
                                                                11,880        800       X      X 28-5284       800

BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776         13,520      1,000       X        28-5284      1000
                                                                13,520      1,000       X      X 28-5284      1000
               COLUMN TOTAL                                 69,067,004







                                                                                                                    FILE NO. 28-1235
PAGE  30 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BARNES & NOBLE INC             COM            067774109         16,800      1,120       X        28-5284      1120

BARNES GROUP INC               COM            067806109          5,510        380       X        28-5284                         380
                                                                   827         57       X        28-4580        57
                                                                47,850      3,300       X      X 28-4580      3300

BARRICK GOLD CORP              COM            067901108      1,835,889     49,929       X        28-5284     45895              4034
                                                             2,622,069     71,310       X      X 28-5284     70081       675     554
                                                               101,779      2,768       X        28-11135     2768
                                                                33,093        900       X        28-4580       300               600

BASIC ENERGY SVCS INC NEW      COM            06985P100            626         48       X        28-5284        48

BASIN WTR INC                  COM            07011T306            780      1,500       X        28-5284      1500

BASSETT FURNITURE INDS INC     COM            070203104            268         80       X        28-5284                          80

BAXTER INTL INC                COM            071813109     41,335,468    771,328       X        28-5284    727302             44026
                                                            20,727,969    386,788       X      X 28-5284    357006      4038   25744
                                                               157,394      2,937       X        28-11135     2937
                                                               614,784     11,472       X        28-4580     10622               850
                                                               513,714      9,586       X      X 28-4580      9586

BAY NATL CORP                  COM            072500101          5,520      2,300       X        28-5284                        2300
                                                                29,138     12,141       X      X 28-5284     12141

BAYTEX ENERGY TR               TRUST UNIT     073176109         23,904      2,000       X        28-5284      2000
                                                                24,502      2,050       X      X 28-5284      2050
                                                                21,514      1,800       X        28-4580      1800

BE AEROSPACE INC               COM            073302101      4,963,118    645,399       X        28-5284    645399

BEACON POWER CORP              COM            073677106            803      1,516       X      X 28-5284      1516

BEBE STORES INC                COM            075571109            941        126       X      X 28-5284       126

BECKMAN COULTER INC            COM            075811109        236,134      5,374       X        28-5284      5204               170
                                                               559,444     12,732       X      X 28-5284      7857              4875
                                                                 7,646        174       X      X 28-4580       174
               COLUMN TOTAL                                 73,887,484







                                                                                                                    FILE NO. 28-1235
PAGE  31 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BECTON DICKINSON & CO          COM            075887109     23,938,757    350,033       X        28-5284    326138             23895
                                                            13,329,895    194,910       X      X 28-5284    169474      2578   22858
                                                               133,497      1,952       X        28-11135     1952
                                                               309,602      4,527       X        28-4580      4527
                                                                51,703        756       X      X 28-4580       756

BED BATH & BEYOND INC          COM            075896100        736,367     28,968       X        28-5284     24193              4775
                                                               598,794     23,556       X      X 28-5284     18411       250    4895
                                                                73,718      2,900       X      X 28-4580      2900

BEL FUSE INC                   CL B           077347300          2,332        110       X        28-5284                         110

BELDEN INC                     COM            077454106            647         31       X        28-5284        31
                                                                 1,295         62       X        28-11135       62

BELO CORP                      COM SER A      080555105          1,182        758       X        28-5284       758

BEMIS INC                      COM            081437105        684,092     28,889       X        28-5284     28889
                                                               835,667     35,290       X      X 28-5284      7250             28040
                                                                 4,026        170       X        28-11135      170

BENCHMARK ELECTRS INC          COM            08160H101          8,875        695       X        28-5284       145               550
                                                               160,557     12,573       X        28-11135    12573

BENEFICIAL MUTUAL BANCORP IN   COM            08173R104      2,093,524    186,091       X        28-5284    186091
                                                                86,771      7,713       X      X 28-5284      7713

BERKLEY W R CORP               COM            084423102         46,128      1,488       X        28-5284      1488
                                                               701,747     22,637       X        28-4580     22637

BERKSHIRE HATHAWAY INC DEL     CL A           084670108              0         59       X        28-5284        52                 7
                                                                     0      2,626       X      X 28-5284      1862       288     476
                                                                     0         10       X      X 28-4580        10

BERKSHIRE HATHAWAY INC DEL     CL B           084670207     26,602,278      8,277       X        28-5284      7380               897
                                                            28,514,608      8,872       X      X 28-5284      7387        72    1413
                                                               533,524        166       X        28-4580       166
                                                               157,486         49       X      X 28-4580        49

BERRY PETE CO                  CL A           085789105            416         55       X        28-5284        55
                                                                 8,694      1,150       X      X 28-5284                        1150
               COLUMN TOTAL                                 99,616,182







                                                                                                                    FILE NO. 28-1235
PAGE  32 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BEST BUY INC                   COM            086516101      2,732,939     97,223       X        28-5284     87631              9592
                                                               807,010     28,709       X      X 28-5284     27189       150    1370
                                                               108,252      3,851       X        28-11135     3851
                                                                50,176      1,785       X        28-4580      1785
                                                                15,179        540       X      X 28-4580       540

BEVERLY NATL CORP              COM            088115100        310,398     21,859       X      X 28-5284     21859

BHP BILLITON LTD               SPONSORED ADR  088606108        431,402     10,056       X        28-5284      9556               500
                                                               830,415     19,357       X      X 28-5284     16757              2600
                                                                 1,973         46       X        28-11135       46
                                                               115,830      2,700       X        28-4580      2700

BIDZ COM INC                   COM            08883T200         18,400      4,000       X        28-5284                        4000

BIG 5 SPORTING GOODS CORP      COM            08915P101         10,420      2,000       X      X 28-5284                2000

BIG LOTS INC                   COM            089302103          1,739        120       X        28-5284                         120

BIO RAD LABS INC               CL A           090572207          1,205         16       X        28-5284        16
                                                               225,930      3,000       X      X 28-5284      3000
                                                                 7,682        102       X        28-11135      102

BIOMARIN PHARMACEUTICAL INC    COM            09061G101          4,450        250       X        28-5284        70               180

BIOGEN IDEC INC                COM            09062X103        263,775      5,538       X        28-5284      4718               820
                                                               131,316      2,757       X      X 28-5284      2757
                                                                   333          7       X        28-11135        7

BIOMED REALTY TRUST INC        COM            09063H107          2,344        200       X        28-5284       200
                                                                24,131      2,059       X      X 28-5284      2059

BIOMIMETIC THERAPEUTICS INC    COM            09064X101         18,440      2,000       X        28-5284      2000

BIOTECH HOLDRS TR              DEPOSTRY RCPTS 09067D201         34,326        200       X        28-5284       200
                                                               274,608      1,600       X      X 28-5284       600              1000

BIOVAIL CORP                   COM            09067J109        142,695     15,100       X      X 28-5284     15100

BLACK & DECKER CORP            COM            091797100      1,030,407     24,645       X        28-5284     21656              2989
                                                               748,817     17,910       X      X 28-5284     16410              1500
                                                                 2,509         60       X        28-4580        60
                                                                10,453        250       X      X 28-4580       250
               COLUMN TOTAL                                  8,357,554







                                                                                                                    FILE NO. 28-1235
PAGE  33 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 BOX CORP DEL             COM            091826107          4,179        160       X        28-5284                         160
                                                                15,672        600       X      X 28-5284                         600
                                                                   392         15       X        28-11135       15

BLACKROCK GLOBAL FLG INC TR    COM            091941104         44,240      5,600       X      X 28-5284      3100      2500

BLACK HILLS CORP               COM            092113109         50,065      1,857       X      X 28-5284      1857

BLACKROCK INVT QLTY MUN TR     COM            09247B109        139,389     18,389       X      X 28-5284     18389

BLACKROCK INVT QUALITY MUN T   COM            09247D105         91,197     10,592       X        28-5284     10592

BLACKROCK NY INVT QUALITY MU   COM            09247E103          4,557        490       X        28-5284       490
                                                                13,950      1,500       X      X 28-5284      1500

BLACKROCK INCOME TR INC        COM            09247F100        189,336     32,200       X      X 28-5284                       32200

BLACKROCK INC                  COM            09247X101     31,548,458    235,173       X        28-5284    213489             21684
                                                               781,826      5,828       X      X 28-5284      5458               370
                                                         5,784,731,249 43,121,366       X        28-4750  43121366

BLACKROCK INSD MUN TERM TR I   COM            092474105         16,256      1,600       X        28-5284      1600
                                                               182,880     18,000       X      X 28-5284                       18000

BLACKROCK INCOME OPP TRUST I   COM            092475102          4,225        500       X        28-5284       500
                                                               152,945     18,100       X      X 28-5284                       18100

BLACKROCK INSD MUN INCOME TR   COM            092479104         77,656      7,333       X        28-5284      7333
                                                                59,622      5,630       X      X 28-5284                        5630

BLACKROCK MUNI 2018 TERM TR    COM            09248C106         20,869      1,609       X        28-5284      1609

BLACKROCK MUN INCOME TR        SH BEN INT     09248F109         50,323      6,085       X        28-5284      6085
                                                                37,215      4,500       X      X 28-5284      4500

BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101        738,648     66,665       X        28-5284     66665
                                                               127,863     11,540       X      X 28-5284     11540

BLACKROCK HIGH YIELD TR        SH BEN INT     09248N102         45,279     10,175       X        28-5284     10175

BLACKROCK PA STRATEGIC MUN T   COM            09248R103         33,124      3,934       X        28-5284      3934
                                                               193,719     23,007       X      X 28-5284     23007

BLACKROCK STRATEGIC MUN TR     COM            09248T109            819        100       X        28-5284       100
               COLUMN TOTAL                              5,819,355,953







                                                                                                                    FILE NO. 28-1235
PAGE  34 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 NJ MUNICIPAL BOND    COM            09249A109        256,678     23,233       X        28-5284     23233
                                                                39,463      3,572       X      X 28-5284      3572

BLACKROCK CORE BD TR           SHS BEN INT    09249E101          6,964        636       X        28-5284       636
                                                               202,575     18,500       X      X 28-5284                       18500

BLACKROCK MD MUNICIPAL BOND    COM            09249L105          7,757        700       X        28-5284       700

BLACKROCK MUNI INCOME TR II    COM            09249N101        109,846     12,071       X        28-5284     12071
                                                                33,670      3,700       X      X 28-5284      3700

BLACKROCK PFD OPPORTUNITY TR   COM SHS        09249V103         15,645      2,100       X        28-5284      2100

BLACKROCK LTD DURATION INC T   COM SHS        09249W101         13,842      1,290       X        28-5284      1290
                                                                10,730      1,000       X      X 28-5284      1000

BLACKROCK STRAT DIVD ACHIEVE   COM            09249Y107          9,497      1,147       X      X 28-5284      1147

BLACKROCK LONG-TERM MUNI ADV   COM            09250B103         13,600      2,000       X        28-5284      2000

BLACKROCK S&P QLTY RK EQ MD    SHS BEN INT    09250D109          3,490        354       X        28-5284       354

BLACKROCK HIGH INCOME SHS      SHS BEN INT    09250E107         12,987     11,100       X      X 28-5284                       11100

BLACKROCK WORLD INVT TR        COM SHS BN INT 09250K103          8,770      1,000       X        28-5284      1000
                                                                26,310      3,000       X      X 28-5284      3000

BLACKROCK DIVID ACHIEVRS TM    COM            09250N107          4,498        538       X        28-5284       538
                                                                 9,597      1,148       X      X 28-5284      1148

BLACKROCK GLBL ENRGY & RES T   COM            09250U101         62,478      4,105       X        28-5284      4105
                                                               545,561     35,845       X      X 28-5284     35845

BLACKROCK PFD & EQ ADVANTAGE   COM            092508100          6,680        800       X        28-5284       800

BLACKROCK ENHANCED DIV ACHV    COM            09251A104        136,776     16,400       X        28-5284     16400
                                                               116,343     13,950       X      X 28-5284     13950

BLACKROCK INTL GRWTH & INC T   COM BENE INTER 092524107         31,150      3,669       X        28-5284      3669

BLACKROCK MUNIVEST FD INC      COM            09253R105         13,340      2,000       X      X 28-5284                        2000

BLACKSTONE GROUP L P           COM UNIT LTD   09253U108      1,778,609    272,375       X        28-5284    272375
               COLUMN TOTAL                                  3,476,856







                                                                                                                    FILE NO. 28-1235
PAGE  35 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 FD INC     COM            09253W104        170,425     17,267       X      X 28-5284     16342               925

BLACKROCK MUNI INTER DR FD I   COM            09253X102        116,546     11,505       X        28-5284     11505
                                                                60,780      6,000       X        28-4580                        6000

BLACKROCK MUNIENHANCED FD IN   COM            09253Y100          6,570        900       X        28-5284       900
                                                                11,768      1,612       X        28-4580      1612

BLACKROCK REAL ASSET EQUITY    COM            09254B109          2,103        300       X      X 28-5284       300

BLACKROCK MUNYIELD INSD FD I   COM            09254E103         18,120      2,000       X        28-5284      2000
                                                                37,744      4,166       X      X 28-5284      4166

BLACKROCK MUNIYIELD QUALITY    COM            09254F100         16,827      1,666       X      X 28-5284      1666
                                                                16,120      1,596       X        28-4580      1596

BLACKROCK MUNIYIELD ARIZ FD    COM            09254K109         60,534      6,974       X        28-5284      6974
                                                                37,880      4,364       X      X 28-5284      4364

BLACKROCK MUNIYIELD CALIF IN   COM            09254N103         21,257      2,259       X        28-5284      2259

BLACKROCK MUNIHLDGS INS INV    COM            09254P108         85,434      9,337       X      X 28-5284      9337

BLACKROCK MUNIHOLDINGS N J I   COM            09254X101         53,030      5,275       X        28-5284      5275

BLACKROCK MUNIYIELD N J FD I   COM            09254Y109        251,750     25,000       X        28-5284     25000

BLACKROCK GBL EQTY INCOME TR   COM            09255D104         17,440      2,000       X        28-5284      2000

BLACKROCK MUNIYIELD PA INSD    COM            09255G107         84,346      9,050       X        28-5284      9050
                                                               235,181     25,234       X      X 28-5284     25234

BLACKROCK PFD INCOME STRATEG   COM            09255H105         36,409      5,636       X      X 28-5284      5636

BLACKROCK PFD & CORPORATE IN   COM            09255J101         12,120      2,000       X      X 28-5284      2000

BLACKROCK ENHANCED GOVT FD I   COM            09255K108          4,905        296       X      X 28-5284                         296

BLACKROCK CORPOR HIGH YLD FD   COM            09255L106        127,212     33,833       X        28-5284     33833
                                                                 1,880        500       X      X 28-5284                         500

BLACKROCK CORPOR HI YLD III    COM            09255M104        231,416     63,751       X        28-5284     63751
               COLUMN TOTAL                                  1,717,797







                                                                                                                    FILE NO. 28-1235
PAGE  36 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 CORPOR HI YLD FD V   COM            09255N102        180,074     29,863       X        28-5284     29863

BLACKROCK CORPOR HI YLD FD V   COM            09255P107        132,654     21,157       X        28-5284     21157

BLACKROCK DEBT STRAT FD INC    COM            09255R103         51,260     20,181       X        28-5284     20181
                                                                 4,575      1,801       X      X 28-5284      1801

BLACKROCK SR HIGH INCOME FD    COM            09255T109          3,360      1,400       X      X 28-5284                        1400

BLACKROCK FLOAT RATE OME STR   COM            09255X100         28,032      3,200       X        28-5284      3200
                                                                36,415      4,157       X      X 28-5284                4157

BLACKROCK FL RATE OME STRA I   COM SHS        09255Y108         22,740      2,688       X      X 28-5284      1775       913

BLACKROCK ENH CAP & INC FD I   COM            09256A109         22,380      2,000       X      X 28-5284      2000

BLDRS INDEX FDS TR             EMER MK 50 ADR 09348R300         13,655        500       X        28-5284       500
                                                                43,696      1,600       X      X 28-5284      1600

BLOCK H & R INC                COM            093671105        808,287     35,576       X        28-5284     33716              1860
                                                             1,176,692     51,791       X      X 28-5284     51791
                                                               113,600      5,000       X        28-4580      5000

BLOCKBUSTER INC                CL A           093679108            655        520       X        28-5284       520

BLOCKBUSTER INC                CL B           093679207            338        520       X        28-5284       520

BLUE NILE INC                  COM            09578R103          4,898        200       X        28-5284                         200

BLYTH INC                      COM            09643P108          3,920        500       X      X 28-5284       500

BOARDWALK PIPELINE PARTNERS    UT LTD PARTNER 096627104          8,534        480       X        28-5284       480
                                                                65,786      3,700       X      X 28-5284      3700

BOEING CO                      COM            097023105      5,280,839    123,760       X        28-5284    107194             16566
                                                             9,658,312    226,349       X      X 28-5284    221027        50    5272
                                                               154,167      3,613       X        28-11135     3613
                                                               192,484      4,511       X        28-4580      4511
                                                                98,141      2,300       X      X 28-4580      2300

BORGWARNER INC                 COM            099724106         53,467      2,456       X        28-5284      2456
                                                               138,392      6,357       X      X 28-5284       658              5699
                                                                 3,853        177       X        28-11135      177
               COLUMN TOTAL                                 18,301,206







                                                                                                                    FILE NO. 28-1235
PAGE  37 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BOSTON PRIVATE FINL HLDGS IN   COM            101119105          3,078        450       X        28-5284                         450
                                                                22,572      3,300       X      X 28-5284      3300

BOSTON PROPERTIES INC          COM            101121101      2,432,320     44,224       X        28-5284     43404               820
                                                             3,122,680     56,776       X      X 28-5284     56276               500
                                                                 5,500        100       X        28-4580       100

BOSTON SCIENTIFIC CORP         COM            101137107      2,462,473    318,149       X        28-5284    279595             38554
                                                               407,565     52,657       X      X 28-5284     41973      1700    8984

BOWNE & CO INC                 COM            103043105          1,235        210       X        28-5284                         210

BOYD GAMING CORP               COM            103304101         41,903      8,859       X        28-5284      8209               650
                                                                 6,395      1,352       X      X 28-5284      1002               350

BRADY CORP                     CL A           104674106        208,605      8,710       X        28-5284      8260               450
                                                                67,060      2,800       X      X 28-5284                        2800

BRANDYWINE RLTY TR             SH BEN INT NEW 105368203         91,248     11,835       X        28-5284     11835
                                                                98,819     12,817       X      X 28-5284     12817

BRASIL TELECOM PARTICIPACOES   SPON ADR PFD   105530109            386         10       X        28-5284        10
                                                                31,136        806       X      X 28-5284       806
                                                               208,757      5,404       X        28-11135     5404

BREITBURN ENERGY PARTNERS LP   COM UT LTD PTN 106776107          7,755      1,100       X      X 28-5284       100              1000

BRIGGS & STRATTON CORP         COM            109043109         38,223      2,173       X        28-5284      1763               410
                                                               754,611     42,900       X      X 28-5284     42900

BRIGHTPOINT INC                COM NEW        109473405            357         82       X      X 28-5284                          82

BRINKER INTL INC               COM            109641100        445,452     42,263       X        28-5284     38183              4080
                                                                45,796      4,345       X      X 28-5284      4345

BRINKS CO                      COM            109696104            538         20       X      X 28-5284        20

BRINKS HOME SEC HLDGS INC      COM            109699108            899         41       X      X 28-5284        41
               COLUMN TOTAL                                 10,505,363







                                                                                                                    FILE NO. 28-1235
PAGE  38 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BRISTOL MYERS SQUIBB CO        COM            110122108     50,388,400  2,167,243       X        28-5284   2085043             82200
                                                            65,031,482  2,797,053       X      X 28-5284   2589713     10130  197210
                                                               471,836     20,294       X        28-11135    20294
                                                             1,522,805     65,497       X        28-4580     62297              3200
                                                             1,715,269     73,775       X      X 28-4580     72264      1511

BRISTOL MYERS SQUIBB CO        PFD CV $2      110122207          3,800          8       X      X 28-5284         8

BRISTOW GROUP INC              COM            110394103          1,688         63       X        28-11135       63

BRITISH AMERN TOB PLC          SPONSORED ADR  110448107         49,021        923       X        28-5284       923
                                                                79,506      1,497       X      X 28-5284       251              1246

BRITISH SKY BROADCASTING GRO   SPONSORED ADR  111013108         19,738        695       X        28-5284       695

BROADCOM CORP                  CL A           111320107        410,521     24,191       X        28-5284     20331              3860
                                                                30,122      1,775       X      X 28-5284      1775

BROADRIDGE FINL SOLUTIONS IN   COM            11133T103        379,109     30,232       X        28-5284     26182              4050
                                                               632,242     50,418       X      X 28-5284     48344        25    2049
                                                                   527         42       X        28-11135       42

BROCADE COMMUNICATIONS SYS I   COM NEW        111621306          1,415        500       X        28-5284       500
                                                                49,720     17,569       X        28-11135    17569

BRONCO DRILLING CO INC         COM            112211107          3,230        500       X        28-5284       500

BROOKDALE SR LIVING INC        COM            112463104            346         62       X        28-5284        62

BROOKFIELD ASSET MGMT INC      CL A LTD VT SH 112585104         75,953      4,974       X        28-5284      4974
                                                             1,436,144     94,050       X      X 28-5284     88200              5850
                                                                 4,566        299       X        28-11135      299

BROOKFIELD PPTYS CORP          COM            112900105        157,421     20,365       X        28-5284     20365
                                                                20,330      2,630       X      X 28-5284      1180              1450

BROOKLINE BANCORP INC DEL      COM            11373M107         32,355      3,038       X        28-5284      3038

BROWN & BROWN INC              COM            115236101         60,004      2,871       X        28-5284      2871

BROWN FORMAN CORP              CL A           115637100      2,269,450     45,389       X        28-5284     45389
                                                                17,400        348       X      X 28-5284       348
                                                             1,238,200     24,764       X        28-4580     24764
               COLUMN TOTAL                                126,102,600







                                                                                                                    FILE NO. 28-1235
PAGE  39 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BROWN FORMAN CORP              CL B           115637209      2,374,564     46,117       X        28-5284     46117
                                                            19,149,131    371,900       X      X 28-5284    371900
                                                                 6,436        125       X        28-4580       125
                                                               318,775      6,191       X      X 28-4580      6191

BROWN SHOE INC NEW             COM            115736100          2,897        342       X        28-5284                         342
                                                                 1,271        150       X      X 28-5284       150

BRUKER CORP                    COM            116794108          4,040      1,000       X        28-5284      1000

BRUNSWICK CORP                 COM            117043109          4,105        975       X        28-5284       975
                                                                   236         56       X      X 28-5284        56

BRUSH ENGINEERED MATLS INC     COM            117421107          2,162        170       X        28-5284                         170
                                                                25,440      2,000       X      X 28-5284      2000

BRYN MAWR BK CORP              COM            117665109        144,720      7,200       X        28-5284      7200
                                                               243,210     12,100       X      X 28-5284      7000              5100

BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101        877,200     27,200       X        28-5284     27200
                                                               295,088      9,150       X      X 28-5284      8850       300

BUCKEYE TECHNOLOGIES INC       COM            118255108          1,820        500       X        28-5284       200               300

BUCYRUS INTL INC NEW           COM            118759109         17,094        923       X        28-5284       823               100
                                                                 4,667        252       X      X 28-5284       252

BURGER KING HLDGS INC          COM            121208201          9,958        417       X        28-5284       417
                                                                 1,194         50       X      X 28-5284        50

BURLINGTON NORTHN SANTA FE C   COM            12189T104      3,653,310     48,254       X        28-5284     46556              1698
                                                            12,210,963    161,286       X      X 28-5284    156546       165    4575
                                                               233,490      3,084       X        28-11135     3084
                                                                29,527        390       X        28-4580       390
                                                               573,730      7,578       X      X 28-4580      7578

C&D TECHNOLOGIES INC           COM            124661109            563        180       X        28-5284                         180

CBL & ASSOC PPTYS INC          COM            124830100        636,545     97,930       X        28-5284     90430              7500
                                                               132,958     20,455       X      X 28-5284     20455
               COLUMN TOTAL                                 40,955,094







                                                                                                                    FILE NO. 28-1235
PAGE  40 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CBS CORP NEW                   CL A           124857103          6,370        773       X        28-5284       406               367
                                                               125,347     15,212       X      X 28-5284     15137                75

CBS CORP NEW                   CL B           124857202        159,386     19,461       X        28-5284     17411              2050
                                                             1,895,977    231,499       X      X 28-5284    224049              7450
                                                                45,094      5,506       X        28-4580       256              5250
                                                                 9,009      1,100       X      X 28-4580      1100

CB RICHARD ELLIS GROUP INC     CL A           12497T101          5,223      1,209       X        28-5284       209              1000
                                                                10,437      2,416       X      X 28-5284      2416

C D I CORP                     COM            125071100          1,553        120       X        28-5284                         120

CEC ENTMT INC                  COM            125137109         15,520        640       X        28-5284       450               190
                                                                 4,244        175       X      X 28-5284       175

CF INDS HLDGS INC              COM            125269100          5,801        118       X        28-5284       118
                                                                14,748        300       X      X 28-5284       200               100

CH ENERGY GROUP INC            COM            12541M102         19,528        380       X        28-5284       250               130
                                                                25,695        500       X      X 28-4580       500

C H ROBINSON WORLDWIDE INC     COM NEW        12541W209        144,509      2,626       X        28-5284      1906               720
                                                               500,773      9,100       X      X 28-5284      4800              4300
                                                               406,286      7,383       X        28-11135     7383

CIGNA CORP                     COM            125509109      3,161,279    187,613       X        28-5284    186313              1300
                                                             5,837,902    346,463       X      X 28-5284    303132      1500   41831
                                                                 2,544        151       X        28-11135      151
                                                                   674         40       X        28-4580        40

CIT GROUP INC                  COM            125581108         10,565      2,327       X        28-5284       427              1900
                                                                    32          7       X      X 28-5284         7
                                                                   518        114       X        28-11135      114

CLECO CORP NEW                 COM            12561W105         12,511        548       X        28-5284       548
                                                                32,693      1,432       X      X 28-5284      1032               400

CKX INC                        COM            12562M106          7,340      2,000       X        28-5284      2000

CME GROUP INC                  COM            12572Q105        512,575      2,463       X        28-5284      2073               390
                                                                83,244        400       X      X 28-5284       360                40
                                                                53,900        259       X        28-11135      259
               COLUMN TOTAL                                 13,111,277







                                                                                                                    FILE NO. 28-1235
PAGE  41 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CMS ENERGY CORP                COM            125896100         86,633      8,569       X        28-5284      1182              7387
                                                                   576         57       X      X 28-5284        57

CNOOC LTD                      SPONSORED ADR  126132109         35,905        377       X        28-5284       377
                                                                88,573        930       X      X 28-5284       930

CPFL ENERGIA S A               SPONSORED ADR  126153105         13,675        350       X      X 28-5284       350

CRA INTL INC                   COM            12618T105         13,869        515       X      X 28-5284       515

CRH PLC                        ADR            12626K203         17,778        683       X        28-5284       683
                                                                 2,603        100       X      X 28-5284       100
                                                               231,485      8,893       X        28-11135     8893

CSX CORP                       COM            126408103      2,767,743     85,240       X        28-5284     81790              3450
                                                             2,265,724     69,779       X      X 28-5284     62954              6825
                                                               244,694      7,536       X        28-11135     7536
                                                               116,892      3,600       X        28-4580      3600

CTS CORP                       COM            126501105          4,232        768       X        28-5284       528               240

CVS CAREMARK CORPORATION       COM            126650100     14,000,691    487,150       X        28-5284    467823             19327
                                                             7,591,930    264,159       X      X 28-5284    241593      3729   18837
                                                               988,024     34,378       X        28-11135    34378
                                                                86,249      3,001       X        28-4580      3001

CV THERAPEUTICS INC            COM            126667104          6,447        700       X        28-5284       700

CA INC                         COM            12673P105        389,853     21,039       X        28-5284     21039
                                                                65,967      3,560       X      X 28-5284      3560

CABLEVISION SYS CORP           CL A NY CABLVS 12686C109          2,880        171       X        28-5284       171
                                                                   269         16       X        28-11135       16

CABOT CORP                     COM            127055101        172,125     11,250       X        28-5284     10125              1125
                                                               171,743     11,225       X      X 28-5284     11225
                                                                 6,120        400       X      X 28-4580       400

CABOT MICROELECTRONICS CORP    COM            12709P103          1,356         52       X        28-5284        52
                                                                58,658      2,250       X      X 28-5284      2250
                                                                35,403      1,358       X        28-11135     1358
               COLUMN TOTAL                                 29,468,097







                                                                                                                    FILE NO. 28-1235
PAGE  42 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CABOT OIL & GAS CORP           COM            127097103         33,800      1,300       X        28-5284      1300
                                                                 3,276        126       X      X 28-5284       126
                                                                 5,122        197       X        28-11135      197

CACI INTL INC                  CL A           127190304         19,434        431       X        28-5284       171               260

CADBURY PLC                    SPONS ADR      12721E102         16,373        459       X        28-5284       459
                                                                58,427      1,638       X      X 28-5284      1638
                                                                 5,707        160       X        28-11135      160
                                                               203,176      5,696       X      X 28-4580      5696

CADENCE DESIGN SYSTEM INC      COM            127387108            183         50       X      X 28-5284        50

CADIZ INC                      COM NEW        127537207          6,793        543       X      X 28-5284                 543

CAL DIVE INTL INC DEL          COM            12802T101        351,996     54,070       X      X 28-5284               54070

CAL MAINE FOODS INC            COM NEW        128030202         22,960        800       X        28-5284       800

CALAMOS CONV & HIGH INCOME F   COM SHS        12811P108         10,176      1,200       X        28-5284      1200
                                                               142,023     16,748       X      X 28-5284     16748

CALAMOS ASSET MGMT INC         CL A           12811R104            740        100       X        28-5284       100

CALAMOS CONV OPP AND INC FD    SH BEN INT     128117108          9,119      1,100       X      X 28-5284      1100

CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101         60,000      9,600       X        28-5284      9600
                                                                 2,188        350       X      X 28-5284       350

CALGON CARBON CORP             COM            129603106            184         12       X      X 28-5284        12

CALIFORNIA COASTAL CMNTYS IN   COM NEW        129915203        116,770    233,539       X      X 28-5284              233539

CALIFORNIA WTR SVC GROUP       COM            130788102        162,505      3,500       X        28-5284      3500
                                                                 6,965        150       X      X 28-5284       150
                                                                 5,386        116       X        28-11135      116

CALIPER LIFE SCIENCES INC      COM            130872104            771        795       X      X 28-5284                 795

CALLAWAY GOLF CO               COM            131193104            929        100       X        28-5284       100
                                                               208,495     22,443       X        28-11135    22443

CALLWAVE INC DEL               COM            13126N101        218,038    427,525       X      X 28-5284              427525
               COLUMN TOTAL                                  1,671,536







                                                                                                                    FILE NO. 28-1235
PAGE  43 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CALPINE CORP                   COM NEW        131347304         22,219      3,052       X        28-5284      3052

CAMDEN NATL CORP               COM            133034108         26,980      1,000       X      X 28-5284                        1000

CAMDEN PPTY TR                 SH BEN INT     133131102        636,766     20,318       X        28-5284     20258                60
                                                               200,576      6,400       X      X 28-5284      6400

CAMECO CORP                    COM            13321L108         24,150      1,400       X        28-5284      1400
                                                               330,338     19,150       X      X 28-5284     19150

CAMERON INTERNATIONAL CORP     COM            13342B105         12,567        613       X        28-5284       613
                                                                46,330      2,260       X      X 28-5284       360              1900
                                                                 1,189         58       X        28-11135       58

CAMPBELL SOUP CO               COM            134429109      4,738,939    157,912       X        28-5284    156392              1520
                                                           140,429,724  4,679,431       X      X 28-5284    147655   1249880 3281896
                                                                79,166      2,638       X        28-4580      2638
                                                                82,317      2,743       X      X 28-4580      1943       800

CANADIAN NATL RY CO            COM            136375102        354,366      9,640       X        28-5284      7585              2055
                                                             2,169,208     59,010       X      X 28-5284     25315             33695
                                                                 1,838         50       X      X 28-4580        50

CANADIAN NAT RES LTD           COM            136385101         93,393      2,336       X        28-5284      2336
                                                             1,050,674     26,280       X      X 28-5284     20085              6195
                                                                29,985        750       X      X 28-4580       750

CANADIAN PAC RY LTD            COM            13645T100         13,448        400       X        28-5284       400
                                                               131,622      3,915       X      X 28-5284       340              3575

CANADIAN SOLAR INC             COM            136635109          5,168        800       X      X 28-5284       800

CANDELA CORP                   COM            136907102             68        138       X        28-11135      138

CANO PETE INC                  COM            137801106             88        200       X      X 28-5284       200

CANON INC                      ADR            138006309        271,233      8,638       X        28-5284      8638
                                                               129,525      4,125       X      X 28-5284       900              3225
                                                                14,099        449       X        28-11135      449
                                                                 3,234        103       X      X 28-4580                         103

CAPE FEAR BK CORP              COM            139380109         43,409     20,671       X      X 28-5284     20671
               COLUMN TOTAL                                150,942,619







                                                                                                                    FILE NO. 28-1235
PAGE  44 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CAPELLA EDUCATION COMPANY      COM            139594105          9,637        164       X        28-11135      164

CAPLEASE INC                   COM            140288101        103,800     60,000       X      X 28-5284     60000
                                                                12,975      7,500       X        28-4580                        7500

CAPITAL ONE FINL CORP          COM            14040H105      5,886,384    184,584       X        28-5284    157722             26862
                                                             1,405,360     44,069       X      X 28-5284     26924             17145
                                                                 2,870         90       X        28-4580        90

CAPITAL TRUST INC MD           CL A NEW       14052H506         27,720      7,700       X      X 28-5284      7700

CAPITALSOURCE INC              COM            14055X102            513        111       X        28-5284       111
                                                                 4,158        900       X      X 28-5284       900

CAPSTONE TURBINE CORP          COM            14067D102          1,394      1,660       X      X 28-5284      1660

CAPSTEAD MTG CORP              COM NO PAR     14067E506          5,385        500       X        28-5284                         500

CARBO CERAMICS INC             COM            140781105          6,218        175       X        28-5284                         175
                                                                 1,172         33       X      X 28-5284        33

CARDICA INC                    COM            14141R101          3,500      1,000       X        28-5284      1000

CARDINAL HEALTH INC            COM            14149Y108      1,862,897     54,044       X        28-5284     51782              2262
                                                             1,273,356     36,941       X      X 28-5284     24445             12496
                                                               294,891      8,555       X        28-11135     8555
                                                                11,685        339       X        28-4580       339
                                                                18,200        528       X      X 28-4580       528

CARDIOME PHARMA CORP           COM NEW        14159U202            910        200       X      X 28-5284       200

CARE INVESTMENT TRUST INC      COM            141657106            187         24       X      X 28-5284        24

CAREER EDUCATION CORP          COM            141665109         42,572      2,373       X        28-5284      2373

CARLISLE COS INC               COM            142339100        316,089     15,270       X        28-5284     13332              1938
                                                               124,200      6,000       X      X 28-5284                        6000

CARMAX INC                     COM            143130102         17,234      2,187       X        28-5284      1987               200
                                                                 3,152        400       X      X 28-5284       400
               COLUMN TOTAL                                 11,436,459







                                                                                                                    FILE NO. 28-1235
PAGE  45 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CARNIVAL PLC                   ADR            14365C103         11,552        510       X        28-5284       510

CARNIVAL CORP                  PAIRED CTF     143658300      1,397,208     57,451       X        28-5284     33851             23600
                                                             1,000,792     41,151       X      X 28-5284     28653             12498
                                                                14,470        595       X        28-4580       595
                                                                32,248      1,326       X      X 28-4580      1326

CARPENTER TECHNOLOGY CORP      COM            144285103      1,609,555     78,362       X        28-5284       500             77862
                                                             5,862,486    285,418       X      X 28-5284    270618             14800

CARRIZO OIL & CO INC           COM            144577103            242         15       X        28-11135       15

CARTER INC                     COM            146229109          5,682        295       X        28-5284       295

CASCADE FINL CORP              COM            147272108        221,408     40,700       X        28-1500     40700

CASELLA WASTE SYS INC          CL A           147448104            653        160       X      X 28-5284       160

CASEYS GEN STORES INC          COM            147528103         14,117        620       X        28-5284       200               420
                                                                 1,867         82       X      X 28-5284        82

CASH AMER INTL INC             COM            14754D100          8,396        307       X        28-5284        57               250

CASTLE A M & CO                COM            148411101          1,516        140       X        28-5284                         140

CATALYST HEALTH SOLUTIONS IN   COM            14888B103         14,610        600       X      X 28-5284       600

CATAPULT COMMUNICATIONS CORP   COM            149016107            394         60       X        28-5284                          60

CATERPILLAR INC DEL            COM            149123101      7,270,623    162,763       X        28-5284    121832             40931
                                                             9,252,765    207,136       X      X 28-5284    180442       275   26419
                                                               230,765      5,166       X        28-11135     5166
                                                                95,772      2,144       X        28-4580      2144
                                                               345,120      7,726       X      X 28-4580      7726

CATO CORP NEW                  CL A           149205106          3,549        235       X        28-5284                         235

CAVCO INDS INC DEL             COM            149568107            834         31       X      X 28-5284        31

CEDAR FAIR L P                 DEPOSITRY UNIT 150185106      1,356,097    108,228       X        28-5284    108228
                                                                74,554      5,950       X      X 28-5284      3800       350    1800

CELADON GROUP INC              COM            150838100            589         69       X      X 28-5284        69
               COLUMN TOTAL                                 28,827,864







                                                                                                                    FILE NO. 28-1235
PAGE  46 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CELANESE CORP DEL              COM SER A      150870103         51,274      4,125       X        28-5284      4125
                                                               375,858     30,238       X      X 28-5284     30238

CELL THERAPEUTICS INC          NOTE  4.000% 7 150934AF4      5,000,000  1,000,000       X      X 28-5284             1000000

CELERA CORP                    COM            15100E106         11,130      1,000       X        28-5284      1000
                                                                 4,452        400       X      X 28-5284       400

CELGENE CORP                   COM            151020104        272,530      4,930       X        28-5284      3450              1480
                                                             1,491,841     26,987       X      X 28-5284     26987
                                                               556,504     10,067       X        28-11135    10067
                                                                11,056        200       X        28-4580       200

CEMEX SAB DE CV                SPON ADR NEW   151290889        180,853     19,787       X        28-5284     19787
                                                                13,344      1,460       X      X 28-5284      1460
                                                                    91         10       X        28-11135       10

CENTENE CORP DEL               COM            15135B101          2,345        119       X        28-5284       119

CENTERPOINT ENERGY INC         COM            15189T107        150,380     11,916       X        28-5284      9376              2540
                                                               194,323     15,398       X      X 28-5284     15398
                                                               115,397      9,144       X        28-11135     9144

CENTERPLATE INC                UNIT 99/99/999 15200E204          4,275      2,500       X      X 28-5284      2500

CENTEX CORP                    COM            152312104         54,498      5,122       X        28-5284        42              5080
                                                                   606         57       X      X 28-5284        57

CENTRAIS ELETRICAS BRASILEIR   SPONSORED ADR  15234Q207         36,962      3,309       X        28-5284      3309
                                                                 1,899        170       X      X 28-5284       170

CENTRAL EUROPEAN DIST CORP     COM            153435102            827         42       X        28-5284        42
                                                                 2,955        150       X      X 28-5284       150
                                                                93,339      4,738       X        28-11135     4738

CENTRAL EUROPE AND RUSSIA FD   COM            153436100          8,691        529       X        28-5284       529

CENTRAL FD CDA LTD             CL A           153501101        644,589     57,450       X        28-5284     57450
                                                                22,440      2,000       X      X 28-5284      2000
                                                                11,220      1,000       X      X 28-4580      1000

CENTRAL GARDEN & PET CO        CL A NON-VTG   153527205          1,180        200       X        28-5284       200
               COLUMN TOTAL                                  9,314,859







                                                                                                                    FILE NO. 28-1235
PAGE  47 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CENTRAL VT PUB SVC CORP        COM            155771108          2,147         90       X        28-5284                          90
                                                                 4,772        200       X      X 28-5284       200

CENTRAL VA BANKSHARES INC      COM            155792104          4,700      1,000       X        28-5284      1000

CENTURY ALUM CO                COM            156431108          3,100        310       X        28-5284                         310
                                                               119,560     11,956       X        28-11135    11956

CENTURY CASINOS INC            COM            156492100         50,986     49,986       X      X 28-5284               49986

CENTURYTEL INC                 COM            156700106         60,235      2,204       X        28-5284       614              1590
                                                                14,676        537       X      X 28-5284       537
                                                               505,605     18,500       X        28-11439    18500

CEPHALON INC                   COM            156708109      2,034,703     26,411       X        28-5284     19061              7350
                                                             2,744,858     35,629       X      X 28-5284     33111              2518
                                                               227,037      2,947       X        28-11135     2947

CERADYNE INC                   COM            156710105         29,003      1,428       X        28-5284       500               928
                                                                61,966      3,051       X      X 28-5284        51              3000

CERNER CORP                    COM            156782104          7,690        200       X        28-5284       200
                                                                 7,690        200       X      X 28-5284       200

CHAMPION ENTERPRISES INC       COM            158496109            330        590       X        28-5284                         590

CHARLES RIV LABS INTL INC      COM            159864107        140,249      5,353       X      X 28-5284      1350              4003
                                                               100,739      3,845       X        28-11135     3845

CHARMING SHOPPES INC           COM            161133103            171         70       X        28-5284        70

CHART INDS INC                 COM PAR $0.01  16115Q308         15,658      1,473       X        28-11135     1473

CHARTER COMMUNICATIONS INC D   CL A           16117M107              6         76       X      X 28-5284        76

CHATTEM INC                    COM            162456107        154,791      2,164       X        28-11135     2164

CHECKPOINT SYS INC             COM            162825103          3,247        330       X        28-5284                         330
                                                                   984        100       X        28-11135      100
               COLUMN TOTAL                                  6,294,903







                                                                                                                    FILE NO. 28-1235
PAGE  48 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHEESECAKE FACTORY INC         COM            163072101          3,384        335       X        28-5284       335
                                                                 1,768        175       X      X 28-5284       175

CHEMED CORP NEW                COM            16359R103          7,954        200       X        28-5284       200
                                                                69,677      1,752       X      X 28-5284      1752

CHEMTURA CORP                  COM            163893100          6,720      4,800       X        28-5284      4800
                                                                 2,685      1,918       X      X 28-5284      1696               222

CHEROKEE INC DEL NEW           COM            16444H102        507,488     29,250       X        28-5284     29250

CHESAPEAKE ENERGY CORP         COM            165167107        478,664     29,602       X        28-5284     26082              3520
                                                               854,310     52,833       X      X 28-5284     52633               200
                                                             1,004,157     62,100       X        28-11439    62100
                                                                40,425      2,500       X        28-4580                        2500
                                                                 4,851        300       X      X 28-4580       300

CHESAPEAKE UTILS CORP          COM            165303108          6,296        200       X        28-5284       200
                                                               214,064      6,800       X      X 28-5284      5600              1200
                                                                62,960      2,000       X        28-4580      2000

CHEVRON CORP NEW               COM            166764100    134,933,559  1,824,166       X        28-5284   1735043       443   88680
                                                           126,419,020  1,709,058       X      X 28-5284   1554399      5459  149200
                                                             1,878,764     25,399       X        28-11135    25399
                                                             3,046,085     41,180       X        28-4580     41080               100
                                                             2,188,328     29,584       X      X 28-4580     26560       944    2080

CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY S 167250109         91,958      9,150       X        28-5284      6800              2350
                                                               299,993     29,850       X      X 28-5284     10750             19100

CHICOS FAS INC                 COM            168615102         26,978      6,454       X        28-5284      6114               340
                                                                 8,423      2,015       X      X 28-5284      2015

CHILDRENS PL RETAIL STORES I   COM            168905107         54,200      2,500       X        28-5284      2500
                                                                 1,106         51       X      X 28-5284        51

CHINA EASTN AIRLS LTD          SPON ADR CL H  16937R104          1,178         77       X        28-5284        77

CHINA FD INC                   COM            169373107          5,772        349       X      X 28-5284       233               116

CHINA LIFE INS CO LTD          SPON ADR REP H 16939P106          5,382        116       X        28-5284       116
                                                                13,920        300       X      X 28-5284                         300
               COLUMN TOTAL                                272,240,069







                                                                                                                    FILE NO. 28-1235
PAGE  49 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 SOUTHN AIRLS LTD         SPON ADR CL H  169409109          4,457        525       X        28-5284       525

CHINA MOBILE LIMITED           SPONSORED ADR  16941M109         16,272        320       X        28-5284       320
                                                                22,883        450       X      X 28-5284       450
                                                                20,391        401       X        28-11135      401

CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108          2,966         48       X        28-5284        48
                                                                12,543        203       X      X 28-5284       203
                                                               172,518      2,792       X        28-11135     2792

CHINA SEC & SURVE TECH INC     COM            16942J105         17,720      4,000       X      X 28-5284      4000

CHINA TELECOM CORP LTD         SPON ADR H SHS 169426103            495         13       X        28-5284        13

CHINA UNICOM (HONG KONG) LTD   SPONSORED ADR  16945R104          1,720        141       X        28-5284       141
                                                                12,310      1,009       X      X 28-5284      1009

CHINA MED TECHNOLOGIES INC     SPONSORED ADR  169483104         10,333        510       X        28-5284       510
                                                                16,208        800       X      X 28-5284       800

CHIPOTLE MEXICAN GRILL INC     CL A           169656105         26,032        420       X        28-5284       420
                                                               122,101      1,970       X      X 28-5284      1220               750

CHIPOTLE MEXICAN GRILL INC     CL B           169656204         19,020        332       X        28-5284       132               200
                                                                   516          9       X      X 28-5284                           9

CHOICE HOTELS INTL INC         COM            169905106         45,090      1,500       X      X 28-4580      1500

CHIQUITA BRANDS INTL INC       COM            170032809         14,780      1,000       X      X 28-5284                        1000

CHRISTOPHER & BANKS CORP       COM            171046105          1,540        275       X        28-5284                         275
                                                                33,880      6,050       X      X 28-5284      6050

CHUBB CORP                     COM            171232101     49,738,056    975,256       X        28-5284    910830             64426
                                                            25,255,506    495,206       X      X 28-5284    438669      3513   53024
                                                                 4,131         81       X        28-11135       81
                                                               934,473     18,323       X        28-4580     17850               473
                                                               296,616      5,816       X      X 28-4580      5816

CHUNGHWA TELECOM CO LTD        SPON ADR NEW   17133Q304          1,092         70       X        28-5284        70
                                                                 3,401        218       X      X 28-5284       218
                                                                   234         15       X        28-11135       15
               COLUMN TOTAL                                 76,807,284







                                                                                                                    FILE NO. 28-1235
PAGE  50 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHURCH & DWIGHT INC            COM            171340102         94,001      1,675       X        28-5284      1675
                                                             7,896,084    140,700       X      X 28-5284    140700
                                                             7,183,360    128,000       X        28-11439   128000

CHURCHILL DOWNS INC            COM            171484108      2,415,338     59,756       X        28-5284     59756
                                                               307,192      7,600       X      X 28-5284      7600

CIBER INC                      COM            17163B102          1,828        380       X        28-5284                         380

CIENA CORP                     COM NEW        171779309          5,400        806       X      X 28-5284       806

CIMAREX ENERGY CO              COM            171798101        929,293     34,701       X        28-5284     32661              2040
                                                               137,971      5,152       X      X 28-5284      1917       525    2710
                                                                   750         28       X        28-11135       28
                                                                42,714      1,595       X        28-4580       995               600

CINCINNATI BELL INC NEW        COM            171871106         92,582     47,970       X        28-5284     47970
                                                                 9,509      4,927       X      X 28-5284      4927

CINCINNATI FINL CORP           COM            172062101     15,189,395    522,511       X        28-5284    369276            153235
                                                             1,370,767     47,154       X      X 28-5284     44954       200    2000
                                                                 2,616         90       X        28-11135       90

CIRCOR INTL INC                COM            17273K109         23,458        853       X        28-11135      853

CISCO SYS INC                  COM            17275R102     81,744,321  5,014,989       X        28-5284   4730338            284651
                                                            51,037,305  3,131,123       X      X 28-5284   2779294     41730  310099
                                                               172,470     10,581       X        28-11135    10581
                                                             1,739,781    106,735       X        28-4580    103965              2770
                                                               955,653     58,629       X      X 28-4580     58629

CITADEL BROADCASTING CORP      COM            17285T106          1,528      9,547       X        28-5284      9348               199
                                                                 2,091     13,069       X      X 28-5284     12768               301
                                                                     1          6       X        28-11135        6
                                                                    25        156       X        28-4580        26               130

CINTAS CORP                    COM            172908105      1,290,264     55,543       X        28-5284     52955              2588
                                                               773,536     33,299       X      X 28-5284     31499              1800

CITIZENS & NORTHN CORP         COM            172922106        141,390      7,159       X        28-5284      7159
                                                               554,975     28,100       X      X 28-5284     28100
               COLUMN TOTAL                                174,115,598







                                                                                                                    FILE NO. 28-1235
PAGE  51 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CITIGROUP INC                  COM            172967101      8,062,548  1,201,572       X        28-5284   1004032       260  197280
                                                             7,468,257  1,113,004       X      X 28-5284    937686     11515  163803
                                                               173,742     25,893       X        28-11135    25893
                                                               105,978     15,794       X        28-4580     14994               800
                                                               215,445     32,108       X      X 28-4580     30579              1529

CITIZENS REPUBLIC BANCORP IN   COM            174420109         98,271     32,977       X        28-5284     32977
                                                                   837        281       X      X 28-5284       281

CITRIX SYS INC                 COM            177376100         61,588      2,613       X        28-5284      2613
                                                                52,325      2,220       X        28-11135     2220

CITY NATL CORP                 COM            178566105        508,915     10,450       X        28-5284     10350               100
                                                                24,058        494       X      X 28-5284       494

CLARCOR INC                    COM            179895107         21,899        660       X        28-5284       230               430
                                                               313,551      9,450       X      X 28-5284      9450

CLARIENT INC                   COM            180489106        156,317     95,900       X        28-5284     95900

CLAUDE RES INC                 COM            182873109          8,000     25,000       X        28-5284     25000

CLAYMORE EXCHANGE TRADED FD    BNY BRI&C PTF  18383M100         38,930      1,686       X        28-5284      1686
                                                                 2,240         97       X        28-11135       97

CLAYMORE EXCHANGE TRADED FD    SABRIENT INSID 18383M209         10,566        600       X        28-5284       600

CLAYMORE EXCHANGE TRADED FD    MAC GLOB SOLAR 18383M621         52,620      6,000       X        28-5284      6000
                                                                13,173      1,502       X      X 28-5284      1502

CLAYMORE ETF TRUST 2           S&P GBL WATER  18383Q507          8,493        600       X        28-5284       600

CLAYMORE ETF TRUST 2           SWM CDN ENERGY 18383Q606          4,226        380       X      X 28-5284       380

CLAYMORE/GUGGENHEIM STR OPP    COM SBI        18385X104         15,540      1,500       X      X 28-5284      1500

CLEAN HARBORS INC              COM            184496107          2,474         39       X        28-5284        39
                                                             1,248,816     19,685       X      X 28-5284     19685

CLEAN ENERGY FUELS CORP        COM            184499101          6,644      1,100       X      X 28-5284      1100
               COLUMN TOTAL                                 18,675,453







                                                                                                                    FILE NO. 28-1235
PAGE  52 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CLEAR CHANNEL OUTDOOR HLDGS    CL A           18451C109          2,312        376       X        28-5284       376

CLEARWATER PAPER CORP          COM            18538R103          3,348        399       X      X 28-5284       399

CLIFFS NATURAL RESOURCES INC   COM            18683K101         27,659      1,080       X        28-5284      1080
                                                                72,220      2,820       X      X 28-5284      2820

CLOROX CO DEL                  COM            189054109      9,464,146    170,341       X        28-5284    161816              8525
                                                             4,681,930     84,268       X      X 28-5284     77443              6825
                                                               338,916      6,100       X        28-4580      6100
                                                                61,116      1,100       X      X 28-4580      1100

CLOUGH GLOBAL ALLOCATION FUN   COM SHS BEN IN 18913Y103         16,035      1,500       X        28-5284      1500

CLOUGH GLOBAL OPPORTUNITIES    SH BEN INT     18914E106          9,503      1,050       X        28-5284      1050

COACH INC                      COM            189754104      2,112,454    101,707       X        28-5284     97057              4650
                                                             2,312,677    111,347       X      X 28-5284    110647               700
                                                               458,955     22,097       X        28-11135    22097
                                                                 2,783        134       X        28-4580       134

COCA COLA HELLENIC BTTLG CO    SPONSORED ADR  1912EP104         11,582        801       X        28-5284       801

COCA COLA CO                   COM            191216100     96,780,153  2,137,843       X        28-5284   2028135            109708
                                                            83,443,611  1,843,243       X      X 28-5284   1698065     20666  124512
                                                                41,829        924       X        28-11135      924
                                                             2,454,856     54,227       X        28-4580     54094               133
                                                             2,513,888     55,531       X      X 28-4580     54856       675

COCA COLA ENTERPRISES INC      COM            191219104         20,583      1,711       X        28-5284      1711
                                                                 8,601        715       X      X 28-5284       715
                                                                 2,093        174       X        28-11135      174

COCA COLA FEMSA S A B DE C V   SPON ADR REP L 191241108        253,620      5,829       X        28-11135     5829

CODORUS VY BANCORP INC         COM            192025104         19,792      2,474       X        28-5284      2137               337
                                                               232,256     29,032       X      X 28-5284     29032

COEUR D ALENE MINES CORP IDA   COM            192108108          5,081      5,774       X        28-5284      5774
                                                                   880      1,000       X      X 28-5284                        1000

COGNEX CORP                    COM            192422103          5,180        350       X        28-5284                         350
                                                               367,469     24,829       X        28-11135    24829
               COLUMN TOTAL                                205,725,528







                                                                                                                    FILE NO. 28-1235
PAGE  53 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102        619,566     34,306       X        28-5284     34306
                                                                65,034      3,601       X      X 28-5284      3601
                                                                25,736      1,425       X        28-11135     1425

COHEN & STEERS INC             COM            19247A100         10,990      1,000       X        28-5284      1000
                                                                   879         80       X      X 28-5284        80

COHEN & STEERS QUALITY RLTY    COM            19247L106         11,978      3,152       X        28-5284      3152

COHEN & STEERS PREM INC RLTY   COM            19247V104          3,570      1,000       X        28-5284      1000

COHEN & STEERS ADV INC RLTY    COM            19247W102          2,446        647       X        28-5284       647
                                                                 7,560      2,000       X      X 28-5284      2000

COHEN & STEERS REIT & PFD IN   COM            19247X100         10,961      1,765       X        28-5284      1765
                                                                 3,105        500       X      X 28-5284       500

COHEN & STEERS REIT & UTIL I   COM            19247Y108         22,107      3,476       X      X 28-5284      3476

COHERENT INC                   COM            192479103         23,606      1,100       X        28-5284      1100

COHEN & STEERS SELECT UTIL F   COM            19248A109          4,244        412       X        28-5284       412
                                                                36,895      3,582       X      X 28-5284      3582

COHEN & STEERS DIV MJRS FDIN   COM            19248G106         24,125      2,500       X        28-5284      2500

COHEN & STEERS CLOSED END OP   COM            19248P106         24,732      2,700       X        28-5284      2700
                                                                35,413      3,866       X      X 28-5284      3866

COHU INC                       COM            192576106          2,309        190       X        28-5284                         190

COLDWATER CREEK INC            COM            193068103        475,702    166,913       X        28-5284    148820             18093
                                                                66,704     23,405       X      X 28-5284     23405

COLE KENNETH PRODTNS INC       CL A           193294105            396         56       X      X 28-5284        56

COLGATE PALMOLIVE CO           COM            194162103     71,030,332  1,036,334       X        28-5284    995233             41101
                                                            41,995,075    612,709       X      X 28-5284    572323      7132   33254
                                                                34,133        498       X        28-11135      498
                                                             1,408,634     20,552       X        28-4580     20164               388
                                                               708,292     10,334       X      X 28-4580     10334

COLLECTIVE BRANDS INC          COM            19421W100         41,067      3,504       X      X 28-5284      3504
               COLUMN TOTAL                                116,695,591







                                                                                                                    FILE NO. 28-1235
PAGE  54 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COLONIAL BANCGROUP INC         COM            195493309         63,762     30,803       X        28-5284     29123              1680
                                                               118,346     57,172       X      X 28-5284      5172             52000
                                                                   215        104       X        28-11135      104

COLONIAL PPTYS TR              COM SH BEN INT 195872106          3,499        420       X        28-5284                         420
                                                                75,045      9,009       X      X 28-5284      9009

COLUMBUS ACQUISITION CORP      *W EXP 05/18/2 198851115             39      1,000       X      X 28-5284      1000

COLUMBUS MCKINNON CORP N Y     COM            199333105            396         29       X        28-11135       29

COMCAST CORP NEW               CL A           20030N101      7,562,578    448,020       X        28-5284    406191             41829
                                                             5,981,512    354,355       X      X 28-5284    296025      6145   52185
                                                                 2,329        138       X        28-11135      138
                                                                63,840      3,782       X        28-4580      3782
                                                                 9,774        579       X      X 28-4580       579

COMCAST CORP NEW               CL A SPL       20030N200     44,211,804  2,737,573       X        28-5284   2681923             55650
                                                             1,417,049     87,743       X      X 28-5284     45793      4550   37400
                                                                 5,830        361       X      X 28-4580       361

COMERICA INC                   COM            200340107        139,684      7,037       X        28-5284      6437               600
                                                               123,765      6,235       X      X 28-5284      5785               450

COMM BANCORP INC               COM            200468106        616,176     17,600       X        28-5284     17600

COMMERCE BANCSHARES INC        COM            200525103          2,461         56       X        28-5284        56
                                                                35,380        805       X      X 28-5284       805

COMMERCEFIRST BANCORP INC      COM            200845105         12,775      2,500       X      X 28-5284      2500

COMMERCIAL METALS CO           COM            201723103         12,143      1,023       X        28-5284      1023
                                                                34,732      2,926       X      X 28-5284      2926
                                                               122,214     10,296       X        28-11135    10296

COMMERICAL NATL FINL CORP PA   COM            202217105          2,177        150       X      X 28-5284       150

COMMSCOPE INC                  COM            203372107         97,731      6,289       X        28-5284      6069               220
               COLUMN TOTAL                                 60,715,256







                                                                                                                    FILE NO. 28-1235
PAGE  55 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMMUNITY BK SYS INC           COM            203607106        152,877      6,268       X        28-5284      6268
                                                                24,390      1,000       X      X 28-5284      1000

COMMUNITY HEALTH SYS INC NEW   COM            203668108          7,538        517       X        28-5284       517

COMMUNITY TR BANCORP INC       COM            204149108         27,563        750       X        28-5284       750

CGG VERITAS                    SPONSORED ADR  204386106         35,526      2,370       X        28-5284      2370
                                                                66,735      4,452       X      X 28-5284      4452

COMPANHIA SIDERURGICA NACION   SPONSORED ADR  20440W105         28,823      2,250       X      X 28-5284      2250

COMPANHIA VALE DO RIO DOCE     SPON ADR PFD   204412100          1,406        132       X        28-5284       132

COMPANHIA VALE DO RIO DOCE     SPONSORED ADR  204412209         99,568      8,222       X        28-5284      8222
                                                               134,421     11,100       X      X 28-5284     11100
                                                                39,115      3,230       X        28-11439     3230
                                                                 4,844        400       X      X 28-4580       400

COMPANIA DE MINAS BUENAVENTU   SPONSORED ADR  204448104          3,984        200       X        28-5284       200

COMPASS MINERALS INTL INC      COM            20451N101         58,660      1,000       X        28-5284      1000
                                                                21,118        360       X      X 28-5284       360

COMPASS DIVERSIFIED HOLDINGS   SH BEN INT     20451Q104         21,375      1,900       X        28-5284      1900

COMPLETE PRODUCTION SERVICES   COM            20453E109            342         42       X        28-5284        42

COMPUTER PROGRAMS & SYS INC    COM            205306103          1,876         70       X        28-5284        70

COMPUTER SCIENCES CORP         COM            205363104        366,580     10,432       X        28-5284       240             10192
                                                                25,266        719       X      X 28-5284       719
                                                               234,314      6,668       X        28-11135     6668

COMPX INTERNATIONAL INC        CL A           20563P101            264         50       X        28-5284        50

COMPUWARE CORP                 COM            205638109          8,201      1,215       X        28-5284       635               580

COMTECH TELECOMMUNICATIONS C   COM NEW        205826209         34,136        745       X        28-5284       745
                                                               752,685     16,427       X      X 28-5284     16427
                                                                 7,423        162       X        28-11135      162
               COLUMN TOTAL                                  2,159,030







                                                                                                                    FILE NO. 28-1235
PAGE  56 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CONAGRA FOODS INC              COM            205887102      2,747,960    166,543       X        28-5284    154123             12420
                                                             1,112,117     67,401       X      X 28-5284     62289       687    4425
                                                                   924         56       X        28-11135       56
                                                               110,105      6,673       X        28-4580      6673
                                                                43,412      2,631       X      X 28-4580      2631

CON-WAY INC                    COM            205944101         15,960        600       X        28-5284       500               100

CONCHO RES INC                 COM            20605P101          2,282        100       X      X 28-5284       100

CONEXANT SYSTEMS INC           COM NEW        207142308          2,329      3,400       X        28-5284      3400
                                                                    64         94       X      X 28-5284        94

CONMED CORP                    COM            207410101          5,746        240       X        28-5284                         240
                                                                11,970        500       X      X 28-5284       500
                                                                40,100      1,675       X        28-11135     1675

CONNECTICUT WTR SVC INC        COM            207797101        120,411      5,100       X      X 28-5284       600              4500

CONOCOPHILLIPS                 COM            20825C104     31,643,377    610,876       X        28-5284    563525             47351
                                                            23,405,623    451,846       X      X 28-5284    415878      7473   28495
                                                             1,245,220     24,039       X        28-11135    24039
                                                             9,606,414    185,452       X        28-4580    185452
                                                             7,279,661    140,534       X      X 28-4580    138765       354    1415

CONSECO INC                    COM NEW        208464883          1,803        348       X        28-5284       348
                                                               114,478     22,100       X      X 28-5284        80     22020

CONSOL ENERGY INC              COM            20854P109        292,459     10,233       X        28-5284      9293               940
                                                               620,672     21,717       X      X 28-5284     11817              9900

CONSOLIDATED COMM HLDGS INC    COM            209034107        139,364     11,731       X        28-5284     11731
                                                                 4,752        400       X      X 28-5284       400

CONSOLIDATED EDISON INC        COM            209115104      5,312,816    136,471       X        28-5284    134147              2324
                                                            11,639,019    298,973       X      X 28-5284    138739       250  159984
                                                               250,670      6,439       X        28-4580      6439
                                                               188,927      4,853       X      X 28-4580      4853

CONSOLIDATED GRAPHICS INC      COM            209341106          2,264        100       X        28-5284                         100

CONSOLIDATED TOMOKA LD CO      COM            210226106        243,079      6,365       X      X 28-5284                2000    4365
               COLUMN TOTAL                                 96,203,978







                                                                                                                    FILE NO. 28-1235
PAGE  57 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CONSTELLATION BRANDS INC       CL A           21036P108         36,649      2,324       X        28-5284      2324
                                                                25,232      1,600       X      X 28-5284      1600
                                                               325,982     20,671       X        28-11135    20671

CONSTELLATION BRANDS INC       CL B           21036P207         14,237        896       X        28-5284       896

CONSTELLATION ENERGY GROUP I   COM            210371100      2,448,132     97,574       X        28-5284     94553              3021
                                                             3,162,469    126,045       X      X 28-5284    105707       825   19513
                                                                 1,004         40       X        28-11135       40
                                                                17,563        700       X        28-4580       700

CONSTELLATION ENERGY PRTNR L   COM UNIT LLC B 21038E101          2,780      1,000       X      X 28-5284                        1000

CONSUMER PORTFOLIO SVCS INC    COM            210502100         11,850     30,000       X      X 28-5284     30000

CONTANGO OIL & GAS COMPANY     COM NEW        21075N204        146,380      2,600       X      X 28-5284       240              2360

CONTINENTAL AIRLS INC          CL B           210795308          4,316        239       X        28-5284       239
                                                                74,046      4,100       X      X 28-5284      4100

CONTINENTAL RESOURCES INC      COM            212015101          9,320        450       X      X 28-5284       450
                                                               257,156     12,417       X        28-11135    12417

CONVERGYS CORP                 COM            212485106      1,118,590    174,507       X        28-5284     62144            112363
                                                               235,760     36,780       X      X 28-5284     35280              1500

COOPER COS INC                 COM NEW        216648402         14,596        890       X        28-5284       500               390
                                                                   180         11       X        28-11135       11

COOPER TIRE & RUBR CO          COM            216831107        138,908     22,550       X        28-5284     22550

COPANO ENERGY L L C            COM UNITS      217202100         11,670      1,000       X      X 28-5284      1000

COPART INC                     COM            217204106         71,102      2,615       X        28-5284      2615

CORINTHIAN COLLEGES INC        COM            218868107         36,833      2,250       X        28-5284      2250
                                                               146,282      8,936       X      X 28-5284      8936

CORN PRODS INTL INC            COM            219023108        110,236      3,821       X        28-5284      3821
                                                               843,257     29,229       X      X 28-5284     26679              2550
               COLUMN TOTAL                                  9,264,530







                                                                                                                    FILE NO. 28-1235
PAGE  58 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CORNING INC                    COM            219350105      3,130,472    328,486       X        28-5284    316735             11751
                                                             2,844,886    298,519       X      X 28-5284    259113      1125   38281
                                                                 1,611        169       X        28-11135      169
                                                                28,228      2,962       X        28-4580      2512               450
                                                                36,805      3,862       X      X 28-4580      3862

CORPORATE EXECUTIVE BRD CO     COM            21988R102         16,766        760       X        28-5284                         760

CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        766,579     24,970       X        28-5284     18720              6250
                                                               430,261     14,015       X      X 28-5284     12120              1895
                                                                41,445      1,350       X        28-4580      1350
                                                                18,420        600       X      X 28-4580       600

CORRECTIONS CORP AMER NEW      COM NEW        22025Y407          6,413        392       X        28-5284       392
                                                                 3,272        200       X      X 28-5284       200

COSTCO WHSL CORP NEW           COM            22160K105      4,260,270     81,148       X        28-5284     68428             12720
                                                             3,913,245     74,538       X      X 28-5284     54971             19567
                                                                 7,770        148       X        28-11135      148
                                                                29,925        570       X        28-11439      570

COTT CORP QUE                  COM            22163N106          2,131      1,665       X        28-5284      1665

COURIER CORP                   COM            222660102            770         43       X      X 28-5284        43

COUSINS PPTYS INC              COM            222795106         11,080        800       X      X 28-5284                         800

COVANCE INC                    COM            222816100      1,153,098     25,051       X        28-5284     25051
                                                               759,909     16,509       X      X 28-5284     15509              1000
                                                                 7,043        153       X        28-11135      153

COVANTA HLDG CORP              COM            22282E102         98,820      4,500       X      X 28-5284      4500

COVENTRY HEALTH CARE INC       COM            222862104      1,379,599     92,715       X        28-5284     83074              9641
                                                               134,069      9,010       X      X 28-5284      4310              4700

COX RADIO INC                  CL A           224051102             60         10       X        28-5284        10
               COLUMN TOTAL                                 19,082,947







                                                                                                                    FILE NO. 28-1235
PAGE  59 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CRACKER BARREL OLD CTRY STOR   COM            22410J106         20,590      1,000       X        28-5284      1000
                                                                 1,030         50       X        28-11135       50

CRANE CO                       COM            224399105            603         35       X        28-5284        35
                                                                51,720      3,000       X      X 28-5284      3000

CREDIT SUISSE ASSET MGMT INC   COM            224916106         67,300     29,261       X        28-5284     29261

CRAY INC                       COM NEW        225223304            445        214       X      X 28-5284       214

CREDIT SUISSE GROUP            SPONSORED ADR  225401108         57,594      2,038       X        28-5284      2038
                                                                 9,721        344       X      X 28-5284       344
                                                                 1,526         54       X        28-11135       54
                                                                 2,685         95       X        28-4580        95

CREE INC                       COM            225447101         28,011      1,765       X        28-5284      1765
                                                                46,023      2,900       X      X 28-5284      2900
                                                               319,828     20,153       X        28-11135    20153

CRESCENT FINL CORP             COM            225744101         10,047      2,644       X      X 28-5284                        2644

CROCS INC                      COM            227046109          1,240      1,000       X        28-5284      1000
                                                                16,356     13,190       X      X 28-5284     13190

CROSS TIMBERS RTY TR           TR UNIT        22757R109         11,140        400       X        28-5284       400
                                                                41,775      1,500       X      X 28-5284      1500

CROSSTEX ENERGY L P            COM            22765U102          4,370      1,000       X        28-5284      1000
                                                                 2,185        500       X      X 28-5284       500

CROSSTEX ENERGY INC            COM            22765Y104         41,223     10,570       X        28-5284     10570
                                                                   780        200       X      X 28-5284       200

CROWN CASTLE INTL CORP         COM            228227104        117,434      6,680       X        28-5284      6680
                                                                12,781        727       X      X 28-5284       727

CROWN HOLDINGS INC             COM            228368106        173,952      9,060       X        28-5284      9060
                                                                19,200      1,000       X      X 28-5284      1000

CRUCELL N V                    SPONSORED ADR  228769105          3,651        241       X        28-5284       241
               COLUMN TOTAL                                  1,063,210







                                                                                                                    FILE NO. 28-1235
PAGE  60 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CRYOLIFE INC                   COM            228903100          2,039        210       X        28-5284                         210

CRYSTALLEX INTL CORP           COM            22942F101            170      1,000       X        28-5284      1000

CUBIC CORP                     COM            229669106          5,440        200       X        28-5284       200

CUBIST PHARMACEUTICALS INC     COM            229678107         12,080        500       X        28-5284       500
                                                               524,755     21,720       X      X 28-5284     21720

CULLEN FROST BANKERS INC       COM            229899109      4,759,105     93,905       X        28-5284     88363              5542
                                                               769,221     15,178       X      X 28-5284     14199               979
                                                                50,579        998       X        28-11135      998
                                                               202,720      4,000       X      X 28-4580      4000

CUMMINS INC                    COM            231021106      2,757,600    103,165       X        28-5284    102175               990
                                                             1,552,131     58,067       X      X 28-5284     55227       700    2140
                                                               378,898     14,175       X        28-11135    14175
                                                               192,456      7,200       X        28-4580      7200
                                                                 2,673        100       X      X 28-4580       100

CUMULUS MEDIA INC              CL A           231082108            560        225       X        28-5284       225

CURRENCYSHARES AUSTRALIAN DL   AUSTRALIAN DOL 23129U101         49,938        700       X        28-5284       700

CURRENCYSHARES EURO TR         EURO SHS       23130C108         52,459        375       X        28-5284       375
                                                                30,776        220       X      X 28-5284       220

CURTISS WRIGHT CORP            COM            231561101         12,354        370       X        28-5284                         370
                                                                55,695      1,668       X      X 28-5284       168              1500

CUTERA INC                     COM            232109108            523         59       X        28-5284        59

CYBERSOURCE CORP               COM            23251J106            600         50       X      X 28-5284        50

CYBEROPTICS CORP               COM            232517102        176,951     34,029       X        28-11135    34029

CYMER INC                      COM            232572107         13,957        637       X        28-5284       377               260
                                                                 1,139         52       X      X 28-5284        52

CYPRESS SEMICONDUCTOR CORP     COM            232806109          4,023        900       X        28-5284       900
                                                                26,820      6,000       X      X 28-5284      6000
               COLUMN TOTAL                                 11,635,662







                                                                                                                    FILE NO. 28-1235
PAGE  61 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CYTEC INDS INC                 COM            232820100          6,790        320       X        28-5284       320
                                                                26,610      1,254       X      X 28-5284      1155                99

D & E COMMUNICATIONS INC       COM            232860106        942,911    140,733       X        28-5284    140733
                                                                35,510      5,300       X      X 28-5284      5300

DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100         24,910      2,650       X        28-5284      2650

DCT INDUSTRIAL TRUST INC       COM            233153105         57,826     11,428       X        28-5284     11428
                                                                    76         15       X      X 28-5284        15

DDI CORP                       COM 0.0001 NEW 233162502      5,380,292  1,746,848       X      X 28-5284             1746848

DNP SELECT INCOME FD           COM            23325P104         57,656      9,375       X        28-5284      9375
                                                               704,138    114,494       X      X 28-5284     17500             96994

DPL INC                        COM            233293109        414,546     18,150       X        28-5284     17070              1080
                                                               478,955     20,970       X      X 28-5284     16478              4492

D R HORTON INC                 COM            23331A109        244,113     34,528       X        28-5284     17110             17418
                                                                   855        121       X      X 28-5284       121

DST SYS INC DEL                COM            233326107         59,629      1,570       X        28-5284      1570
                                                                   152          4       X      X 28-5284         4
                                                                16,331        430       X      X 28-4580       430

DTE ENERGY CO                  COM            233331107        166,864      4,678       X        28-5284      3536              1142
                                                               124,667      3,495       X      X 28-5284      3370               125
                                                                15,088        423       X      X 28-4580       423

DTF TAX-FREE INCOME INC        COM            23334J107         24,259      2,030       X      X 28-5284      2030

DSW INC                        CL A           23334L102          3,738        300       X      X 28-5284       300

DWS MULTI MKT INCOME TR        SHS            23338L108          7,579      1,325       X      X 28-5284      1325

DWS MUN INCOME TR              COM            23338M106         13,415      1,636       X        28-5284      1636

DWS RREEF REAL ESTATE FD II    COM            23338X102          1,881      2,850       X        28-5284      2850
                                                                45,833     69,444       X      X 28-5284     69444

DWS DREMAN VAL INCOME EDGE F   COM            23339M105          4,020      1,000       X        28-5284      1000
                                                                 4,020      1,000       X      X 28-5284      1000
               COLUMN TOTAL                                  8,862,664







                                                                                                                    FILE NO. 28-1235
PAGE  62 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DAKTRONICS INC                 COM            234264109         47,268      5,050       X        28-5284      3450              1600
                                                               132,912     14,200       X      X 28-5284      4775              9425
                                                                87,759      9,376       X        28-11135     9376

DANAHER CORP DEL               COM            235851102      3,412,055     60,273       X        28-5284     53363              6910
                                                             5,518,456     97,482       X      X 28-5284     88075              9407
                                                               281,635      4,975       X        28-11135     4975
                                                                22,644        400       X        28-4580       400

DARDEN RESTAURANTS INC         COM            237194105      1,610,008     57,133       X        28-5284     56273               860
                                                               359,492     12,757       X      X 28-5284     11500              1257
                                                                99,250      3,522       X        28-11135     3522

DARLING INTL INC               COM            237266101         22,273      4,057       X        28-11135     4057

DATASCOPE CORP                 COM            238113104          5,746        110       X        28-5284                         110

DAVITA INC                     COM            23918K108          1,685         34       X        28-5284        34
                                                                99,487      2,007       X        28-11135     2007

DAWSON GEOPHYSICAL CO          COM            239359102          4,096        230       X        28-5284       230

DAXOR CORP                     COM            239467103          6,160        400       X        28-5284       400

DAYSTAR TECHNOLOGIES INC       COM            23962Q100        144,102    153,300       X      X 28-5284              153300

DEALERTRACK HLDGS INC          COM            242309102            678         57       X        28-5284        57
                                                                 2,711        228       X      X 28-5284       228

DEAN FOODS CO NEW              COM            242370104         84,908      4,725       X        28-5284      4725
                                                                17,970      1,000       X      X 28-5284      1000
                                                                14,753        821       X        28-11135      821

DECKERS OUTDOOR CORP           COM            243537107            639          8       X      X 28-5284         8

DEERE & CO                     COM            244199105      2,142,586     55,913       X        28-5284     53073              2840
                                                             2,613,922     68,213       X      X 28-5284     56199             12014
                                                                38,742      1,011       X        28-11135     1011
                                                                 4,598        120       X        28-4580       120
               COLUMN TOTAL                                 16,776,535







                                                                                                                    FILE NO. 28-1235
PAGE  63 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DEL MONTE FOODS CO             COM            24522P103        113,155     15,848       X        28-5284     13813              2035
                                                               334,752     46,884       X      X 28-5284     44523              2361
                                                                18,164      2,544       X        28-4580      2544
                                                                 2,385        334       X      X 28-4580       334

DELAWARE INVTS DIV & INCOME    COM            245915103          4,581        900       X        28-5284       900

DELL INC                       COM            24702R101      3,635,896    355,068       X        28-5284    291827             63241
                                                             2,741,535    267,728       X      X 28-5284    241828      6499   19401
                                                               112,814     11,017       X        28-11135    11017
                                                                 5,120        500       X        28-4580       500
                                                                11,264      1,100       X      X 28-4580      1100

DELPHI FINL GROUP INC          CL A           247131105          8,611        467       X        28-5284       117               350
                                                                 5,532        300       X      X 28-5284                         300
                                                                30,002      1,627       X        28-11135     1627

DELTA AIR LINES INC DEL        COM NEW        247361702          9,179        801       X        28-5284       436               365
                                                                30,747      2,683       X      X 28-5284                2683

DELTA NAT GAS INC              COM            247748106         14,550        600       X        28-5284       600
                                                                 8,488        350       X      X 28-5284       350

DELTIC TIMBER CORP             COM            247850100          4,118         90       X        28-5284                          90

DELTA PETE CORP                COM NEW        247907207      1,037,442    217,950       X        28-5284    217950

DENBURY RES INC                COM NEW        247916208          8,605        788       X        28-5284       788
                                                                85,176      7,800       X      X 28-5284      7800
                                                                 2,621        240       X        28-11135      240

DELUXE CORP                    COM            248019101          4,488        300       X        28-5284       300
                                                                 2,992        200       X      X 28-5284       200

DENISON MINES CORP             COM            248356107          3,275      2,775       X        28-5284      2775
                                                                 1,770      1,500       X      X 28-5284      1500

DENTSPLY INTL INC NEW          COM            249030107      3,166,692    112,135       X        28-5284    109401              2734
                                                             2,445,810     86,608       X      X 28-5284     85298              1310
                                                                13,583        481       X        28-4580       481
                                                                24,286        860       X      X 28-4580       860

DESTINATION MATERNITY CORP     COM            25065D100        235,516     30,002       X        28-5284     30002
               COLUMN TOTAL                                 14,123,149







                                                                                                                    FILE NO. 28-1235
PAGE  64 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DEUTSCHE BK AG LDN BRH         PS GOLD DL ETN 25154H749         41,607      2,300       X        28-5284      2300
                                                                21,708      1,200       X      X 28-5284      1000               200

DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105         62,393      4,078       X        28-5284      4078
                                                             1,137,555     74,350       X      X 28-5284     74350
                                                                97,920      6,400       X        28-11135     6400
                                                                 1,622        106       X        28-4580       106

DEVELOPERS DIVERSIFIED RLTY    COM            251591103        171,161     35,074       X        28-5284     35074
                                                                42,422      8,693       X      X 28-5284      8693

DEVON ENERGY CORP NEW          COM            25179M103     17,837,374    271,456       X        28-5284    251076             20380
                                                             6,329,713     96,328       X      X 28-5284     84455      2280    9593
                                                                35,549        541       X        28-11135      541
                                                               271,842      4,137       X        28-4580      4137
                                                               187,602      2,855       X      X 28-4580      2855

DEVRY INC DEL                  COM            251893103         42,598        742       X        28-5284        69               673
                                                             1,056,516     18,403       X      X 28-5284     12303              6100
                                                                14,353        250       X        28-11135      250

DIAGEO P L C                   SPON ADR NEW   25243Q205      1,776,529     31,310       X        28-5284     28705              2605
                                                             1,656,524     29,195       X      X 28-5284     20595        75    8525
                                                               122,956      2,167       X        28-11135     2167
                                                                28,370        500       X        28-4580       350               150
                                                               283,700      5,000       X      X 28-4580      5000

DIAMOND FOODS INC              COM            252603105         40,300      2,000       X      X 28-5284                        2000

DIAMOND OFFSHORE DRILLING IN   COM            25271C102      1,828,083     31,016       X        28-5284     17996             13020
                                                             1,255,481     21,301       X      X 28-5284     16041              5260
                                                                 4,421         75       X        28-4580        75

DIAMONDROCK HOSPITALITY CO     COM            252784301            137         27       X      X 28-5284        27

DIAMONDS TR                    UNIT SER 1     252787106     12,717,706    145,312       X        28-5284    143144              2168
                                                             6,674,713     76,265       X      X 28-5284     74547              1718
                                                               204,534      2,337       X        28-4580      2337
                                                                69,316        792       X      X 28-4580       792

DICKS SPORTING GOODS INC       COM            253393102        179,903     12,750       X        28-5284     12462               288
                                                                87,355      6,191       X      X 28-5284      6171                20
               COLUMN TOTAL                                 54,281,963







                                                                                                                    FILE NO. 28-1235
PAGE  65 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DIEBOLD INC                    COM            253651103         37,613      1,339       X        28-5284      1139               200
                                                                28,427      1,012       X      X 28-5284      1012
                                                                 4,214        150       X      X 28-4580       150

DIEDRICH COFFEE INC            COM NEW        253675201          6,120     17,001       X      X 28-5284               17001

DIGI INTL INC                  COM            253798102          1,460        180       X        28-5284                         180

DIGIMARC CORP NEW              COM            25381B101          7,295        728       X        28-5284       728

DIGITAL RLTY TR INC            COM            253868103        519,359     15,810       X        28-5284     15550               260
                                                                46,450      1,414       X      X 28-5284      1414

DIME CMNTY BANCSHARES          COM            253922108          3,644        274       X        28-5284        84               190

DILLARDS INC                   CL A           254067101          1,985        500       X        28-5284       500

DIODES INC                     COM            254543101            576         95       X        28-11135       95

DIONEX CORP                    COM            254546104          7,176        160       X        28-5284                         160
                                                               215,280      4,800       X      X 28-5284      4800

DIRECTV GROUP INC              COM            25459L106        618,822     27,011       X        28-5284     23570              3441
                                                               253,568     11,068       X      X 28-5284     10416               652
                                                               695,021     30,337       X        28-11135    30337
                                                                 7,950        347       X        28-4580       347
                                                                 4,238        185       X      X 28-4580       185

DISCOVERY LABORATORIES INC N   COM            254668106         16,800     15,000       X        28-5284     15000
                                                                11,536     10,300       X      X 28-5284     10300

DISNEY WALT CO                 COM DISNEY     254687106     29,156,468  1,284,992       X        28-5284   1216088             68904
                                                            30,338,912  1,337,105       X      X 28-5284   1222718     10655  103732
                                                               390,200     17,197       X        28-11135    17197
                                                               610,815     26,920       X        28-4580     26700               220
                                                               371,413     16,369       X      X 28-4580     16369

DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104        167,768     11,848       X        28-5284      3948              7900
                                                               558,286     39,427       X      X 28-5284     39427

DISCOVERY COMMUNICATNS NEW     COM SER C      25470F302        338,071     25,248       X        28-5284     10548             14700
                                                               696,909     52,047       X      X 28-5284     39427             12620
               COLUMN TOTAL                                 65,116,376







                                                                                                                    FILE NO. 28-1235
PAGE  66 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DISH NETWORK CORP              CL A           25470M109        149,249     13,458       X        28-5284     11868              1590
                                                                   665         60       X      X 28-5284        60
                                                                 2,329        210       X      X 28-4580       210

DISCOVER FINL SVCS             COM            254709108        964,893    101,248       X        28-5284     78562             22686
                                                             1,052,855    110,478       X      X 28-5284     99978             10500
                                                                   276         29       X        28-11135       29
                                                                   477         50       X        28-4580        50
                                                                11,017      1,156       X      X 28-4580      1156

DITECH NETWORKS INC            COM            25500T108        800,930    977,936       X      X 28-5284              977936

DOLBY LABORATORIES INC         COM            25659T107      3,379,587    103,162       X        28-5284    100989              2173
                                                               773,529     23,612       X      X 28-5284     23512               100
                                                                 5,111        156       X        28-11135      156
                                                                18,444        563       X        28-4580       563

DOLLAR TREE INC                COM            256746108     14,978,675    359,287       X        28-5284    334039             25248
                                                             3,359,088     80,573       X      X 28-5284     74073      2133    4367
                                                               170,429      4,088       X        28-4580      4088
                                                                36,771        882       X      X 28-4580       882

DOMINION RES BLACK WARRIOR T   UNITS BEN INT  25746Q108          6,808        400       X        28-5284       400
                                                                25,530      1,500       X      X 28-5284      1500

DOMINION RES INC VA NEW        COM            25746U109     22,001,495    613,881       X        28-5284    599353             14528
                                                            21,482,102    599,389       X      X 28-5284    556150      1426   41813
                                                                 8,745        244       X        28-11135      244
                                                               232,781      6,495       X        28-4580      6495
                                                               806,687     22,508       X      X 28-4580     19008              3500

DOMINOS PIZZA INC              COM            25754A201          1,413        300       X      X 28-5284       300

DOMTAR CORP                    COM            257559104         19,980     11,964       X        28-5284     11964
                                                                    40         24       X      X 28-5284        24

DONALDSON INC                  COM            257651109      1,193,027     35,454       X        28-5284     35454
                                                             1,174,553     34,905       X      X 28-5284      9515             25390

DONEGAL GROUP INC              CL A           257701201         73,587      4,388       X        28-5284      4388

DONEGAL GROUP INC              CL B           257701300         10,219        616       X        28-5284       616
               COLUMN TOTAL                                 72,741,292







                                                                                                                    FILE NO. 28-1235
PAGE  67 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DONNELLEY R R & SONS CO        COM            257867101        131,237      9,664       X        28-5284      6909              2755
                                                               306,976     22,605       X      X 28-5284     21705               900
                                                               326,409     24,036       X        28-11135    24036

DORCHESTER MINERALS LP         COM UNIT       25820R105         15,870      1,000       X      X 28-5284      1000

DOUGLAS EMMETT INC             COM            25960P109         94,554      7,240       X        28-5284      7240
                                                                 5,485        420       X      X 28-5284       420

DOVER CORP                     COM            260003108      6,662,514    202,385       X        28-5284    186140             16245
                                                             6,639,832    201,696       X      X 28-5284    168235      8000   25461
                                                               195,940      5,952       X        28-11135     5952
                                                               105,344      3,200       X        28-4580      3200

DOW CHEM CO                    COM            260543103      7,959,311    527,456       X        28-5284    498039             29417
                                                             9,849,816    652,738       X      X 28-5284    618078       700   33960
                                                                11,031        731       X        28-11135      731
                                                               122,999      8,151       X        28-4580      7551               600
                                                                21,881      1,450       X      X 28-4580      1450

DR PEPPER SNAPPLE GROUP INC    COM            26138E109          4,388        270       X        28-5284       270
                                                                62,920      3,872       X      X 28-5284       872              3000
                                                                 1,950        120       X        28-11135      120
                                                                69,420      4,272       X      X 28-4580      4272

DREAMWORKS ANIMATION SKG INC   CL A           26153C103          9,523        377       X        28-11135      377

DRESS BARN INC                 COM            261570105          3,866        360       X        28-5284                         360

DRESSER-RAND GROUP INC         COM            261608103        238,050     13,800       X        28-5284      2600             11200
                                                               138,000      8,000       X      X 28-5284                        8000

DREW INDS INC                  COM NEW        26168L205         49,140      4,095       X      X 28-5284      4095

DREYFUS STRATEGIC MUNS INC     COM            261932107         33,913      6,013       X        28-5284      6013
                                                                 9,092      1,612       X      X 28-5284      1612

DREYFUS HIGH YIELD STRATEGIE   SH BEN INT     26200S101         28,544     12,800       X      X 28-5284                       12800

DREYFUS MUN INCOME INC         COM            26201R102          8,645      1,328       X      X 28-5284      1328

DREYFUS STRATEGIC MUN BD FD    COM            26202F107         28,384      5,105       X      X 28-5284      5105
               COLUMN TOTAL                                 33,135,034







                                                                                                                    FILE NO. 28-1235
PAGE  68 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DRIL-QUIP INC                  COM            262037104         47,993      2,340       X        28-5284        50              2290
                                                                   738         36       X      X 28-5284        36

DU PONT E I DE NEMOURS & CO    COM            263534109     34,689,867  1,371,141       X        28-5284   1317137             54004
                                                            42,400,953  1,675,927       X      X 28-5284   1539320      9648  126959
                                                               355,490     14,051       X        28-11135    14051
                                                            10,962,288    433,292       X        28-4580    433292
                                                             6,810,102    269,174       X      X 28-4580    264254       472    4448

DUFF & PHELPS UTIL CORP BD T   COM            26432K108        143,562     14,200       X      X 28-5284                       14200

DUKE ENERGY CORP NEW           COM            26441C105      4,762,313    317,276       X        28-5284    306101             11175
                                                             6,055,064    403,402       X      X 28-5284    360764             42638
                                                                 6,980        465       X        28-11135      465
                                                                34,418      2,293       X        28-4580      2293
                                                               223,784     14,909       X      X 28-4580     14909

DUKE REALTY CORP               COM NEW        264411505        580,814     52,994       X        28-5284     52094               900
                                                             1,020,332     93,096       X      X 28-5284     91996              1100
                                                                 2,992        273       X        28-11135      273
                                                                 8,768        800       X        28-4580       800
                                                                32,880      3,000       X      X 28-4580      3000

DUN & BRADSTREET CORP DEL NE   COM            26483E100      1,159,467     15,019       X        28-5284     14419               600
                                                               440,812      5,710       X      X 28-5284      3747              1963
                                                                15,440        200       X      X 28-4580       200

DUNCAN ENERGY PARTNERS LP      COM UNITS      265026104         13,600      1,000       X      X 28-5284                        1000

DYNAMIC MATLS CORP             COM            267888105          3,862        200       X        28-5284       200
                                                                   521         27       X      X 28-5284        27

DYNAVAX TECHNOLOGIES CORP      COM            268158102          4,200      5,000       X        28-5284      5000

DYNCORP INTL INC               CL A           26817C101        717,541     47,300       X      X 28-5284     47300

DYNEGY INC DEL                 CL A           26817G102          2,306      1,153       X        28-5284      1153
                                                                    38         19       X      X 28-5284        19
                                                                    12          6       X      X 28-4580         6
               COLUMN TOTAL                                110,497,137







                                                                                                                    FILE NO. 28-1235
PAGE  69 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
E M C CORP MASS                COM            268648102      7,929,842    757,387       X        28-5284    668702             88685
                                                             3,883,491    370,916       X      X 28-5284    331915             39001
                                                                35,786      3,418       X        28-11135     3418
                                                                84,598      8,080       X        28-4580      6830              1250
                                                                50,256      4,800       X      X 28-4580      4800

EMC INS GROUP INC              COM            268664109          2,565        100       X        28-5284       100

EMS TECHNOLOGIES INC           COM            26873N108         51,740      2,000       X        28-5284      2000
                                                                58,363      2,256       X        28-11135     2256

ENSCO INTL INC                 COM            26874Q100        121,225      4,270       X        28-5284      4270
                                                               129,231      4,552       X      X 28-5284      3902               650
                                                               108,989      3,839       X        28-11135     3839

ENI S P A                      SPONSORED ADR  26874R108        566,667     11,850       X        28-5284     11850
                                                                   574         12       X      X 28-5284        12
                                                               257,702      5,389       X        28-11135     5389
                                                                37,634        787       X        28-4580       787

EOG RES INC                    COM            26875P101     13,447,562    201,976       X        28-5284    199776              2200
                                                             8,325,762    125,049       X      X 28-5284    120599       150    4300
                                                               205,599      3,088       X        28-4580      3088
                                                                49,269        740       X      X 28-4580       740

EPIQ SYS INC                   COM            26882D109          2,139        128       X      X 28-5284       128
                                                               662,735     39,661       X        28-11135    39661

ERP OPER LTD PARTNERSHIP       NOTE  3.850% 8 26884AAV5      3,484,000      4,000       X        28-11439     4000

EAGLE BANCORP INC MD           COM            268948106          1,064        185       X      X 28-5284       185

E TRADE FINANCIAL CORP         COM            269246104          1,714      1,490       X        28-5284      1490

EV3 INC                        COM            26928A200          2,184        358       X        28-5284       358

EAGLE MATERIALS INC            COM            26969P108          9,205        500       X        28-5284       500
                                                                 2,835        154       X      X 28-5284                         154

EAGLE ROCK ENERGY PARTNERS L   UNIT           26985R104          7,065      1,500       X        28-5284      1500

EARTHLINK INC                  COM            270321102         20,956      3,100       X        28-5284      3100
               COLUMN TOTAL                                 39,540,752







                                                                                                                    FILE NO. 28-1235
PAGE  70 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EAST WEST BANCORP INC          COM            27579R104         70,396      4,408       X        28-5284       478              3930
                                                                10,860        680       X      X 28-5284       680
                                                               137,741      8,625       X        28-11135     8625

EASTERN AMERN NAT GAS TR       SPERS RCT UNIT 276217106         12,625        500       X        28-5284       500
                                                                75,750      3,000       X      X 28-5284      3000

EASTERN INS HLDGS INC          COM            276534104         40,150      5,000       X        28-5284      5000
                                                                 6,023        750       X      X 28-5284       750

EASTGROUP PPTY INC             COM            277276101        255,287      7,175       X        28-5284      7175
                                                                13,876        390       X      X 28-5284       390

EASTMAN CHEM CO                COM            277432100         80,385      2,535       X        28-5284      2535
                                                               138,953      4,382       X      X 28-5284      4382
                                                                 1,490         47       X        28-4580        47

EASTMAN KODAK CO               NOTE  3.375%10 277461BE8     16,100,000     20,000       X        28-11439    20000

EASTMAN KODAK CO               COM            277461109        105,945     16,101       X        28-5284     15069              1032
                                                                69,781     10,605       X      X 28-5284     10605
                                                                   770        117       X        28-11135      117
                                                                   329         50       X        28-4580        50

EATON CORP                     COM            278058102      3,157,579     63,520       X        28-5284     54555              8965
                                                             2,716,652     54,650       X      X 28-5284     49867              4783
                                                               131,135      2,638       X        28-11135     2638

EATON VANCE PA MUNI INCOME T   SH BEN INT     27826T101         38,199      4,817       X        28-5284      4817
                                                                86,635     10,925       X      X 28-5284     10925

EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108          6,909        888       X        28-5284       888
                                                                 5,446        700       X      X 28-5284       700

EATON VANCE NJ MUNI INCOME T   SH BEN INT     27826V106          8,030      1,000       X        28-5284      1000

EATON VANCE CORP               COM NON VTG    278265103         87,927      4,185       X        28-5284      4185
                                                                21,010      1,000       X      X 28-5284      1000
                                                                 2,311        110       X        28-11135      110

EATON VANCE INS MUN BD FD II   COM            27827K109         14,307      1,605       X      X 28-5284                        1605
               COLUMN TOTAL                                 23,396,501







                                                                                                                    FILE NO. 28-1235
PAGE  71 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MUN BD FD      COM            27827X101         22,940      2,590       X        28-5284      2590
                                                                53,142      6,000       X      X 28-5284      6000

EATON VANCE ENHANCED EQ INC    COM            278274105         31,920      2,660       X        28-5284      2660
                                                                12,156      1,013       X      X 28-5284      1013

EATON VANCE ENH EQTY INC FD    COM            278277108         12,804      1,200       X        28-5284      1200
                                                                15,472      1,450       X      X 28-5284      1450

EATON VANCE TAX ADVT DIV INC   COM            27828G107         82,575      7,088       X        28-5284      7088
                                                                52,693      4,523       X      X 28-5284      4523

EATON VANCE LTD DUR INCOME F   COM            27828H105          4,945        500       X        28-5284       500
                                                                49,450      5,000       X      X 28-5284      1000              4000

EATON VANCE TX MGD DIV EQ IN   COM            27828N102         44,818      4,146       X        28-5284      4146
                                                               125,937     11,650       X      X 28-5284      6750              4900

EATON VANCE SR FLTNG RTE TR    COM            27828Q105        251,714     32,271       X      X 28-5284     32271

EATON VANCE TX ADV GLBL DIV    COM            27828S101         13,933      1,312       X        28-5284      1312
                                                               160,649     15,127       X      X 28-5284     15127

EATON VANCE SH TM DR DIVR IN   COM            27828V104         55,920      4,800       X      X 28-5284                        4800

EATON VANCE INS PA MUN BD FD   COM            27828W102         85,643      9,790       X        28-5284      9790
                                                                54,561      6,237       X      X 28-5284      6237

EATON VANCE TX MNG BY WRT OP   COM            27828Y108         59,670      5,850       X        28-5284      5850
                                                                45,900      4,500       X      X 28-5284                        4500

EATON VANCE TXMGD GL BUYWR O   COM            27829C105         85,160      8,415       X        28-5284      8415

EATON VANCE TAX MNG GBL DV E   COM            27829F108         70,418      7,149       X        28-5284      7149
                                                               221,625     22,500       X      X 28-5284     22500
                                                                 9,850      1,000       X        28-4580      1000

EATON VANCE RISK MNGD DIV EQ   COM            27829G106          8,990        500       X      X 28-5284                         500

EBAY INC                       COM            278642103      1,702,631    121,965       X        28-5284    106040             15925
                                                               855,539     61,285       X      X 28-5284     43780      1200   16305
                                                                 9,074        650       X        28-4580       650
                                                                 9,074        650       X      X 28-4580       650
               COLUMN TOTAL                                  4,209,203







                                                                                                                    FILE NO. 28-1235
PAGE  72 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ECHOSTAR CORP                  CL A           278768106            401         27       X        28-5284        27
                                                                   625         42       X      X 28-4580        42

ECLIPSYS CORP                  COM            278856109          2,398        169       X        28-5284       169

ECOLAB INC                     COM            278865100      1,526,072     43,416       X        28-5284     23216             20200
                                                             2,105,485     59,900       X      X 28-5284     28670             31230
                                                                17,575        500       X        28-4580       500
                                                                15,818        450       X      X 28-4580       450

EDEN BIOSCIENCE CORP           COM PAR $.0025 279445878         57,377     44,931       X      X 28-5284               44931

EDGEWATER TECHNOLOGY INC       COM            280358102         29,008     11,200       X      X 28-5284               11200

EDISON INTL                    COM            281020107        785,077     24,442       X        28-5284      3675             20767
                                                               312,239      9,721       X      X 28-5284      9171               550
                                                                 3,854        120       X        28-11135      120

EDWARDS LIFESCIENCES CORP      COM            28176E108        167,872      3,055       X        28-5284      2698               357
                                                                51,488        937       X      X 28-5284       647               290
                                                                 1,264         23       X        28-4580        23

EL PASO CORP                   COM            28336L109         73,485      9,385       X        28-5284      7065              2320
                                                               146,037     18,651       X      X 28-5284     14651              4000

EL PASO ELEC CO                COM NEW        283677854          6,151        340       X        28-5284                         340
                                                                 1,501         83       X      X 28-5284        83

EL PASO ENERGY CAP TR I        PFD CV TR SECS 283678209          5,113        200       X        28-5284       200

EL PASO PIPELINE PARTNERS L    COM UNIT LPI   283702108         22,230      1,425       X        28-5284      1425
                                                                71,760      4,600       X      X 28-5284      4600

ELAN PLC                       ADR            284131208         27,678      4,613       X        28-5284      4613
                                                                19,500      3,250       X      X 28-5284      3250

ELDORADO GOLD CORP NEW         COM            284902103          2,385        300       X      X 28-5284       300

ELECTRO ENERGY INC             COM NEW        285106209             14         80       X      X 28-5284        80

ELECTRO SCIENTIFIC INDS        COM            285229100          1,494        220       X        28-5284                         220
               COLUMN TOTAL                                  5,453,901







                                                                                                                    FILE NO. 28-1235
PAGE  73 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ELECTRONIC ARTS INC            COM            285512109        431,316     26,890       X        28-5284     25230              1660
                                                               308,979     19,263       X      X 28-5284     10685       450    8128
                                                                17,965      1,120       X        28-4580      1120

ELECTRONICS FOR IMAGING INC    COM            286082102          1,099        115       X      X 28-5284       115

EMBARQ CORP                    COM            29078E105         85,225      2,370       X        28-5284      2364                 6
                                                               346,043      9,623       X      X 28-5284      9372       251
                                                                 3,668        102       X        28-4580       102

EMBRAER-EMPRESA BRASILEIRA D   SP ADR COM SHS 29081M102            567         35       X        28-5284        35
                                                                56,735      3,500       X      X 28-5284      3500

EMCOR GROUP INC                COM            29084Q100         13,458        600       X        28-5284        50               550
                                                                 1,122         50       X      X 28-5284        50
                                                               318,147     14,184       X        28-11135    14184

EMCORE CORP                    COM            290846104            910        700       X        28-5284       700
                                                                 2,600      2,000       X      X 28-5284      2000

EMERGING MKTS TELECOMNC FD N   COM            290890102          2,688        199       X      X 28-5284       199

EMERSON ELEC CO                COM            291011104     63,972,497  1,747,405       X        28-5284   1667449             79956
                                                            59,771,463  1,632,654       X      X 28-5284   1504406     13752  114496
                                                               212,741      5,811       X        28-11135     5811
                                                             1,266,852     34,604       X        28-4580     32664              1940
                                                             1,542,928     42,145       X      X 28-4580     40727      1418

EMERSON RADIO CORP             COM NEW        291087203        873,595  1,303,873       X      X 28-5284             1303873

EMPIRE DIST ELEC CO            COM            291641108          7,040        400       X      X 28-5284       300               100

EMULEX CORP                    COM NEW        292475209          2,094        300       X      X 28-5284       300

ENBRIDGE INC                   COM            29250N105         81,175      2,500       X        28-5284      2500
                                                                48,705      1,500       X      X 28-5284      1500

ENBRIDGE ENERGY PARTNERS L P   COM            29250R106      1,128,477     44,254       X        28-5284     44254
                                                             3,409,350    133,700       X      X 28-5284    133000               700

ENBRIDGE ENERGY MANAGEMENT L   SHS UNITS LLI  29250X103          2,078         85       X      X 28-5284        85
               COLUMN TOTAL                                133,909,517







                                                                                                                    FILE NO. 28-1235
PAGE  74 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENCANA CORP                    COM            292505104        241,231      5,190       X        28-5284      5190
                                                             1,417,919     30,506       X      X 28-5284     23906              6600
                                                                 2,975         64       X        28-11135       64
                                                                11,713        252       X      X 28-4580       252

ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106         38,940      3,000       X        28-5284      3000
                                                                 3,894        300       X      X 28-5284       300

ENCORIUM GROUP INC             COM            29257R109            710      2,630       X        28-4580      2630

ENDEAVOUR SILVER CORP          COM            29258Y103          1,020      1,000       X      X 28-5284      1000

ENDO PHARMACEUTICALS HLDGS I   COM            29264F205         12,034        465       X        28-5284       465
                                                               701,866     27,120       X      X 28-5284     27120

ENERGEN CORP                   COM            29265N108         53,821      1,835       X        28-5284      1835
                                                                 6,570        224       X      X 28-5284       224
                                                                 5,866        200       X        28-11135      200

ENERGY CONVERSION DEVICES IN   COM            292659109         20,168        800       X        28-5284       800

ENERGIZER HLDGS INC            COM            29266R108         92,742      1,713       X        28-5284      1713
                                                               576,591     10,650       X      X 28-5284     10650

ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109        195,558      5,750       X        28-5284      5750
                                                               171,751      5,050       X      X 28-5284      5050

ENERPLUS RES FD                UNIT TR G NEW  29274D604        345,998     17,671       X        28-5284      8221              9450
                                                               437,319     22,335       X      X 28-5284     22025               310

ENERSIS S A                    SPONSORED ADR  29274F104        143,962     11,300       X        28-11135    11300

ENNIS INC                      COM            293389102          2,422        200       X        28-5284       200

ENSIGN GROUP INC               COM            29358P101        644,490     38,500       X      X 28-5284     38500

ENTEGRIS INC                   COM            29362U104          3,565      1,628       X      X 28-5284      1628

ENTERCOM COMMUNICATIONS CORP   CL A           293639100            311        253       X        28-5284       253
               COLUMN TOTAL                                  5,133,436







                                                                                                                    FILE NO. 28-1235
PAGE  75 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENTERGY CORP NEW               COM            29364G103      8,982,030    108,048       X        28-5284    104034              4014
                                                             6,478,820     77,936       X      X 28-5284     77253               683
                                                               146,974      1,768       X        28-4580      1768
                                                               263,938      3,175       X      X 28-4580      2325               850

ENTERPRISE GP HLDGS L P        UNIT LP INT    293716106         26,145      1,500       X      X 28-5284      1500

ENTERPRISE PRODS PARTNERS L    COM            293792107        240,758     11,614       X        28-5284      9814              1800
                                                             1,111,149     53,601       X      X 28-5284     46051      5250    2300
                                                                 8,582        414       X        28-11135      414

ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        289,954      9,730       X        28-5284      9730
                                                               481,985     16,174       X      X 28-5284     16174
                                                                   656         22       X        28-11135       22

ENTRAVISION COMMUNICATIONS C   CL A           29382R107            198        127       X        28-5284       127

ENVIRONMENTAL PWR CORP         COM NEW        29406L201          4,302      6,828       X        28-5284      6828

ENZO BIOCHEM INC               COM            294100102          1,218        249       X        28-5284                         249

EPICOR SOFTWARE CORP           COM            29426L108            610        127       X        28-5284       127

EQUIFAX INC                    COM            294429105        276,471     10,425       X        28-5284     10425
                                                               222,105      8,375       X      X 28-5284      6875              1500
                                                               108,334      4,085       X        28-11135     4085

EQUITABLE RES INC              COM            294549100     53,012,154  1,580,094       X        28-5284    585044            995050
                                                             4,301,949    128,225       X      X 28-5284    120001       115    8109
                                                                71,428      2,129       X      X 28-4580      2129

EQUITY MEDIA HLDGS CORP        COM            294725106          4,950    450,000       X      X 28-5284              450000

EQUITY ONE                     COM            294752100         13,364        755       X        28-5284       755

EQUITY RESIDENTIAL             SH BEN INT     29476L107        503,600     16,888       X        28-5284     15968               920
                                                               223,352      7,490       X      X 28-5284      5290              2200
                                                                   149          5       X        28-11135        5

EQUITY RESIDENTIAL             PFD CONV E 7%  29476L883          9,900        300       X      X 28-5284       300
               COLUMN TOTAL                                 76,785,075







                                                                                                                    FILE NO. 28-1235
PAGE  76 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ERICSSON L M TEL CO            ADR B SEK 10   294821608         51,749      6,626       X        28-5284      6626
                                                                25,000      3,201       X      X 28-5284      3201
                                                                 2,655        340       X        28-4580       340

ERIE INDTY CO                  CL A           29530P102      3,165,247     84,115       X        28-5284     84115
                                                               501,043     13,315       X      X 28-5284     13315

ESCO TECHNOLOGIES INC          COM            296315104         12,285        300       X        28-5284       300

ESSA BANCORP INC               COM            29667D104        219,015     15,500       X        28-5284     15500

ESSEX PPTY TR INC              COM            297178105        286,738      3,736       X        28-5284      3736
                                                                17,499        228       X      X 28-5284       228

ESTERLINE TECHNOLOGIES CORP    COM            297425100         28,418        750       X        28-5284       500               250
                                                               151,863      4,008       X      X 28-5284      4008
                                                                 2,614         69       X        28-11135       69

ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101         39,432        626       X        28-5284       626

ETHAN ALLEN INTERIORS INC      COM            297602104          5,619        391       X        28-5284       141               250
                                                                 4,311        300       X      X 28-5284       300
                                                               200,404     13,946       X        28-11135    13946
                                                                17,244      1,200       X        28-4580      1200

EURONET WORLDWIDE INC          COM            298736109         13,932      1,200       X      X 28-5284      1200

EUROPEAN EQUITY FUND           COM            298768102          6,725      1,234       X        28-5284      1234

EVERGREEN INCOME ADVANTAGE F   COM SHS        30023Y105         29,379      5,332       X      X 28-5284      4132              1200

EVERGREEN GBL DIVID OPP FUND   COM            30024H101          9,540      1,000       X        28-5284      1000
                                                                 3,635        381       X      X 28-5284       381

EVERGREEN INTL BALANCED INCO   COM            30024R109          3,088        250       X        28-5284       250

EVERGREEN MULTI SECT INC FUN   COM SHS        30024Y104         20,400      2,000       X        28-5284      2000
                                                               215,220     21,100       X      X 28-5284                       21100

EVERGREEN SOLAR INC            COM            30033R108          6,294      1,973       X      X 28-5284      1973

EVOLVING SYS INC               COM            30049R100        195,210    244,013       X      X 28-5284              244013
               COLUMN TOTAL                                  5,234,559







                                                                                                                    FILE NO. 28-1235
PAGE  77 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EVOTEC AG                      SPONSORED ADS  30050E105          6,712      3,227       X      X 28-5284                3227

EXAR CORP                      COM            300645108          2,001        300       X        28-5284                         300

EXELON CORP                    COM            30161N101     32,482,802    584,118       X        28-5284    565132             18986
                                                            28,546,448    513,333       X      X 28-5284    475202      7130   31001
                                                                 6,173        111       X        28-11135      111
                                                             1,059,259     19,048       X        28-4580     18833               215
                                                             1,089,789     19,597       X      X 28-4580     19597

EXPEDIA INC DEL                COM            30212P105          1,244        151       X        28-5284       151

EXPEDITORS INTL WASH INC       COM            302130109         61,550      1,850       X        28-5284      1237               613
                                                             1,137,834     34,200       X      X 28-5284     15450             18750
                                                                32,738        984       X        28-11135      984
                                                                34,601      1,040       X      X 28-4580      1040

EXPRESSJET HOLDINGS INC        COM NEW        30218U306            170        100       X      X 28-5284       100

EXPRESS SCRIPTS INC            COM            302182100        499,108      9,078       X        28-5284      4912              4166
                                                               139,319      2,534       X      X 28-5284      2534
                                                               514,063      9,350       X        28-11135     9350

EXTRA SPACE STORAGE INC        COM            30225T102          1,424        138       X        28-5284       138

EXTERRAN HLDGS INC             COM            30225X103         10,884        511       X        28-5284       511

EZCORP INC                     CL A NON VTG   302301106        602,924     39,640       X      X 28-5284     39640

EXXON MOBIL CORP               COM            30231G102    632,997,855  7,929,323       X        28-5284   7633118       990  295215
                                                           725,788,974  9,091,682       X      X 28-5284   8172578     53530  865574
                                                               180,975      2,267       X        28-11135     2267
                                                            19,529,132    244,634       X        28-4580    242185              2449
                                                            58,855,945    737,266       X      X 28-4580    731481      1000    4785

FBL FINL GROUP INC             CL A           30239F106         11,727        759       X        28-5284        49               710

FEI CO                         COM            30241L109          1,433         76       X        28-5284        76

FLIR SYS INC                   COM            302445101         64,183      2,092       X        28-5284      2092
                                                             1,417,938     46,217       X      X 28-5284     32217             14000
                                                               268,450      8,750       X        28-11135     8750
               COLUMN TOTAL                              1,505,345,655







                                                                                                                    FILE NO. 28-1235
PAGE  78 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FMC TECHNOLOGIES INC           COM            30249U101        341,150     14,316       X        28-5284     13121              1195
                                                                49,900      2,094       X      X 28-5284      2094
                                                               144,362      6,058       X        28-11135     6058

F M C CORP                     COM NEW        302491303         30,774        688       X        28-5284       688
                                                                44,283        990       X      X 28-5284       990

FNB CORP PA                    COM            302520101        757,390     57,378       X        28-5284     57378
                                                               592,838     44,912       X      X 28-5284     30651      4845    9416

FPIC INS GROUP INC             COM            302563101         55,513      1,268       X        28-11135     1268

FPL GROUP INC                  COM            302571104     33,895,191    673,459       X        28-5284    659394             14065
                                                            38,234,493    759,676       X      X 28-5284    726137      6920   26619
                                                               110,575      2,197       X        28-11135     2197
                                                             1,206,813     23,978       X        28-4580     23628               350
                                                             1,062,215     21,105       X      X 28-4580     19105              2000

FTI CONSULTING INC             COM            302941109            715         16       X        28-5284        16

FACET BIOTECH CORP             SHS            30303Q103         18,144      1,892       X        28-11135     1892

FACTSET RESH SYS INC           COM            303075105     18,118,050    409,540       X        28-5284    385438             24102
                                                             6,079,549    137,422       X      X 28-5284    127892      3166    6364
                                                               424,969      9,606       X        28-4580      9444               162
                                                               111,794      2,527       X      X 28-4580      2527

FAIR ISAAC CORP                COM            303250104        104,262      6,184       X        28-5284      6184
                                                                19,389      1,150       X      X 28-5284      1150

FAIRCHILD SEMICONDUCTOR INTL   COM            303726103         19,071      3,900       X      X 28-5284      3900

FAIRFAX FINL HLDGS LTD         SUB VTG        303901102         31,341        100       X        28-5284       100

FAIRPOINT COMMUNICATIONS INC   COM            305560104         33,187     10,118       X        28-5284      9884               234
                                                                49,640     15,134       X      X 28-5284     14082        42    1010
                                                                   118         36       X        28-11135       36
                                                                   282         86       X        28-4580        85                 1
                                                                 3,887      1,185       X      X 28-4580      1185

FAMILY DLR STORES INC          COM            307000109        376,581     14,445       X        28-5284     13888               557
                                                               197,950      7,593       X      X 28-5284      7451               142
               COLUMN TOTAL                                102,114,426







                                                                                                                    FILE NO. 28-1235
PAGE  79 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FASTENAL CO                    COM            311900104        338,289      9,707       X        28-5284      9607               100
                                                             3,287,226     94,325       X      X 28-5284     31050             63275

FAUQUIER BANKSHARES INC VA     COM            312059108        191,250     15,000       X      X 28-5284     15000

FEDERAL HOME LN MTG CORP       COM            313400301          5,197      7,119       X        28-5284      7119
                                                                 2,221      3,043       X      X 28-5284       645              2398

FEDERAL MOGUL CORP             COM            313549404        340,325     80,455       X      X 28-5284               80455

FEDERAL NATL MTG ASSN          COM            313586109          3,257      4,285       X        28-5284      4285
                                                                12,362     16,266       X      X 28-5284     16266
                                                                   194        255       X        28-11135      255
                                                                   608        800       X        28-4580       800
                                                                     3          4       X                        4

FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206      1,136,126     18,301       X        28-5284     18301
                                                             2,014,372     32,448       X      X 28-5284     31548               900

FEDERATED INVS INC PA          CL B           314211103          2,273        134       X        28-5284       134
                                                               170,109     10,030       X      X 28-5284       150              9880

FEDERATED PREM MUN INC FD      COM            31423P108        121,763     13,410       X        28-5284     13410
                                                                14,319      1,577       X      X 28-5284      1577

FEDEX CORP                     COM            31428X106      3,036,925     47,341       X        28-5284     39171              8170
                                                             1,051,675     16,394       X      X 28-5284     10865              5529
                                                                62,675        977       X        28-11135      977
                                                               155,435      2,423       X        28-4580      2423
                                                                 9,623        150       X      X 28-4580       150

FEDFIRST FINL CORP             COM            31429X105         36,620      8,556       X        28-5284      8556

FELCOR LODGING TR INC          COM            31430F101         49,202     26,740       X        28-5284     26740
                                                                 2,852      1,550       X      X 28-5284      1550

FELCOR LODGING TR INC          PFD CV A $1.95 31430F200          6,750      1,000       X      X 28-5284      1000

FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100         17,592      1,200       X        28-5284      1200
                                                                 2,932        200       X      X 28-5284       200

FERRO CORP                     COM            315405100            649         92       X        28-5284        92
               COLUMN TOTAL                                 12,072,824







                                                                                                                    FILE NO. 28-1235
PAGE  80 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
F5 NETWORKS INC                COM            315616102          1,143         50       X        28-5284        50
                                                                19,888        870       X      X 28-5284       870
                                                               111,145      4,862       X        28-11135     4862

FIBERTOWER CORP                NOTE  9.000%11 31567RAC4     63,000,000  3,000,000       X      X 28-5284             3000000

FIDELITY BANCORP INC           COM            315831107          8,881      1,426       X        28-5284      1426

FIDELITY NATL INFORMATION SV   COM            31620M106         66,853      4,109       X        28-5284      4109
                                                             1,468,839     90,279       X      X 28-5284     90279

FIDELITY NATIONAL FINANCIAL    CL A           31620R105        844,385     47,571       X        28-5284     43091              4480
                                                             3,318,593    186,963       X      X 28-5284    182808              4155

FIFTH THIRD BANCORP            COM            316773100      1,870,650    226,471       X        28-5284    224031              2440
                                                             1,354,144    163,940       X      X 28-5284    162840              1100

FINANCIAL FED CORP             COM            317492106          5,119        220       X        28-5284                         220
                                                                53,265      2,289       X        28-11135     2289

FINISAR                        COM            31787A101      5,889,062 15,497,531       X        28-5284  15497531

FINISH LINE INC                CL A           317923100            470         84       X      X 28-5284        84

FIRST AMERN CORP CALIF         COM            318522307        349,020     12,081       X        28-5284     11941               140
                                                                 1,965         68       X      X 28-5284        68

FIRST BANCORP P R              COM            318672102          6,684        600       X        28-5284                         600
                                                                   735         66       X        28-11135       66

FIRST CASH FINL SVCS INC       COM            31942D107         30,896      1,621       X      X 28-5284      1621

FIRST CTZNS BANCSHARES INC N   CL A           31946M103        118,114        773       X        28-5284       773

FIRST COMWLTH FINL CORP PA     COM            319829107        600,801     48,530       X        28-5284     48530
                                                               295,213     23,846       X      X 28-5284     19696              4150

FIRST FRANKLIN CORP            COM            320272107         65,100     16,275       X        28-5284                       16275
                                                                48,000     12,000       X      X 28-5284     12000
               COLUMN TOTAL                                 79,528,965







                                                                                                                    FILE NO. 28-1235
PAGE  81 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 HORIZON NATL CORP        COM            320517105        247,232     23,390       X        28-5284     23390
                                                                23,962      2,267       X      X 28-5284      2267

FIRST INDUSTRIAL REALTY TRUS   COM            32054K103         10,495      1,390       X        28-5284      1390
                                                                57,909      7,670       X      X 28-5284      7670

FIRST ISRAEL FD INC            COM            32063L100         29,273      3,650       X        28-5284      3650

FIRST MARBLEHEAD CORP          COM            320771108             13         10       X        28-5284                          10

FIRST MARINER BANCORP          COM            320795107          3,600      5,000       X      X 28-5284                        5000

FIRST MIDWEST BANCORP DEL      COM            320867104          8,387        420       X        28-5284                         420

FIRST OPPORTUNITY FD INC       COM            33587T108          4,271        839       X      X 28-5284       839

FIRST POTOMAC RLTY TR          COM            33610F109         16,740      1,800       X        28-5284      1800
                                                                 9,300      1,000       X      X 28-5284      1000

FIRST SOLAR INC                COM            336433107        120,991        877       X        28-5284       877
                                                               197,973      1,435       X      X 28-5284      1060               375

FIRST TR MORNINGSTAR DIV LEA   SHS            336917109          5,936        450       X      X 28-4580       450

FIRST TR ABERDEEN GLBL OPP F   COM SHS        337319107         15,600      1,500       X      X 28-5284                        1500

FIRST TR FOUR CRNRS SR FLT R   COM SHS        33733Q107         16,750      2,500       X        28-5284      2500

FIRST TR/FOUR CRNRS SR FLOAT   COM            33733U108          7,868      1,124       X      X 28-5284      1124

FIRST TRUST FIDAC MTG INCM F   COM SHS        33734E103        202,032     12,200       X      X 28-5284                       12200

FIRST TR VALUE LINE DIVID IN   SHS            33734H106        135,708     11,699       X        28-5284     11699

FIRST TR STRATEGIC HIGH INC    COM SHS        337353106          3,075        500       X      X 28-5284       500

FIRST TR ISE GLB WIND ENRG E   COM SHS        33736G106            501         40       X        28-5284        40

FIRST UTD CORP                 COM            33741H107          6,740        500       X        28-5284       500
               COLUMN TOTAL                                  1,124,356







                                                                                                                    FILE NO. 28-1235
PAGE  82 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FIRSTSERVICE CORP              SUB VTG SH     33761N109         28,930      2,200       X      X 28-5284      2200

FIRSTCITY FINL CORP            COM            33761X107          9,950      5,000       X        28-4580                        5000

FISERV INC                     COM            337738108        486,958     13,389       X        28-5284     11764              1625
                                                               916,779     25,207       X      X 28-5284     13046             12161
                                                                11,857        326       X        28-11135      326

FIRSTFED FINL CORP             COM            337907109            228        130       X        28-5284                         130

FIRSTMERIT CORP                COM            337915102      1,043,151     50,663       X        28-5284     50663

FLAGSTAR BANCORP INC           COM            337930101          7,100     10,000       X      X 28-5284     10000

FIRSTENERGY CORP               COM            337932107     23,892,567    491,819       X        28-5284    462647             29172
                                                             9,528,093    196,132       X      X 28-5284    180605      3157   12370
                                                               329,712      6,787       X        28-11135     6787
                                                               263,789      5,430       X        28-4580      5320               110
                                                               195,146      4,017       X      X 28-4580      4017

FIVE STAR QUALITY CARE INC     COM            33832D106             24         16       X        28-5284        16
                                                                 2,295      1,500       X      X 28-5284      1500

FLAHERTY & CRMN/CLYMR PFD SE   COM SHS        338478100         15,500      2,000       X      X 28-5284      2000

FLAHERTY & CRUMRINE PFD INC    COM            33848E106         18,658      4,056       X        28-5284      4056

FLAHERTY & CRUMRINE PFD INC    COM            338480106          5,310        900       X      X 28-5284       900

FLUOR CORP NEW                 COM            343412102        208,825      4,654       X        28-5284      4014               640
                                                               716,439     15,967       X      X 28-5284     13892              2075
                                                               225,651      5,029       X        28-11135     5029
                                                                90,996      2,028       X        28-4580      2028
                                                                20,192        450       X      X 28-4580       450

FLOWERS FOODS INC              COM            343498101          2,948        121       X        28-5284       121
                                                                14,981        615       X        28-11135      615

FLOWSERVE CORP                 COM            34354P105         21,373        415       X        28-5284       415
                                                                68,392      1,328       X      X 28-5284      1328
                                                               107,532      2,088       X        28-11135     2088
               COLUMN TOTAL                                 38,233,376







                                                                                                                    FILE NO. 28-1235
PAGE  83 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FOMENTO ECONOMICO MEXICANO S   SPON ADR UNITS 344419106          9,401        312       X        28-5284       312
                                                                 1,356         45       X      X 28-5284        45
                                                                 1,476         49       X        28-4580        49

FOOT LOCKER INC                COM            344849104            807        110       X        28-5284       110
                                                               160,599     21,880       X      X 28-5284     21880

FORCE PROTECTION INC           COM NEW        345203202          2,990        500       X        28-5284       500
                                                                 7,176      1,200       X      X 28-5284       200              1000

FORD MTR CO DEL                COM PAR $0.01  345370860        177,631     77,568       X        28-5284     70708              6860
                                                               164,395     71,788       X      X 28-5284     58048             13740
                                                                   348        152       X        28-4580       152
                                                                 2,519      1,100       X      X 28-4580       100              1000

FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206          8,659        960       X        28-5284       960
                                                                 2,526        280       X      X 28-5284       280

FOREST CITY ENTERPRISES INC    CL A           345550107         23,316      3,480       X        28-5284                        3480
                                                               360,125     53,750       X      X 28-5284     53000               750
                                                                16,750      2,500       X        28-4580                        2500

FOREST LABS INC                COM            345838106        299,782     11,770       X        28-5284      5584              6186
                                                               237,941      9,342       X      X 28-5284      9342
                                                                 1,146         45       X        28-11135       45

FOREST OIL CORP                COM PAR $0.01  346091705        437,810     26,550       X      X 28-5284     22800              3750

FORESTAR GROUP INC             COM            346233109          2,789        293       X        28-5284       293

FORMFACTOR INC                 COM            346375108          1,197         82       X        28-5284        82
                                                                54,020      3,700       X      X 28-5284      3700

FORT DEARBORN INCOME SECS IN   COM            347200107         20,640      1,500       X      X 28-5284                        1500

FORTRESS INVESTMENT GROUP LL   CL A           34958B106             32         32       X        28-5284        32

FORTRESS INTL GROUP INC        *W EXP 07/12/2 34958D110          1,959    195,924       X      X 28-5284              195924
               COLUMN TOTAL                                  1,997,390







                                                                                                                    FILE NO. 28-1235
PAGE  84 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FORTUNE BRANDS INC             COM            349631101      7,446,540    180,391       X        28-5284    173291        90    7010
                                                             6,987,012    169,259       X      X 28-5284    164246       300    4713
                                                               138,247      3,349       X        28-11135     3349
                                                                16,512        400       X        28-4580       400
                                                                87,101      2,110       X      X 28-4580      2110

40 / 86 STRATEGIC INCOME FD    SH BEN INT     349739102        112,619     18,019       X        28-5284     18019
                                                                34,375      5,500       X      X 28-5284                        5500

FORWARD AIR CORP               COM            349853101          6,189        255       X        28-5284                         255
                                                               540,420     22,267       X        28-11135    22267

FOSSIL INC                     COM            349882100         31,062      1,860       X        28-5284                        1860
                                                                   184         11       X      X 28-5284        11

FOSTER L B CO                  COM            350060109         15,640        500       X        28-5284       500

4 KIDS ENTMT INC               COM            350865101            858        438       X        28-5284       348                90

FRANCE TELECOM                 SPONSORED ADR  35177Q105         59,312      2,113       X        28-5284      2113
                                                                 7,186        256       X      X 28-5284       256

FRANKLIN RES INC               COM            354613101      9,288,218    145,629       X        28-5284    135569             10060
                                                             4,828,848     75,711       X      X 28-5284     68855      1141    5715
                                                                58,295        914       X        28-11135      914
                                                               244,915      3,840       X        28-4580      3760                80
                                                                36,355        570       X      X 28-4580       570

FRANKLIN STREET PPTYS CORP     COM            35471R106         26,550      1,800       X      X 28-5284      1800

FRANKLIN TEMPLETON LTD DUR I   COM            35472T101         64,220      7,600       X        28-5284      7600
                                                                58,305      6,900       X      X 28-5284      1000              5900

FREDS INC                      CL A           356108100          3,336        310       X        28-5284                         310

FREEPORT-MCMORAN COPPER & GO   PFD CONV       35671D782          4,271         90       X      X 28-5284        90

FREEPORT-MCMORAN COPPER & GO   COM            35671D857        867,938     35,513       X        28-5284     26590              8923
                                                               764,532     31,282       X      X 28-5284     29930       320    1032
                                                               177,874      7,278       X        28-11135     7278
                                                                12,220        500       X        28-11439      500
                                                                35,145      1,438       X        28-4580      1438
                                                               137,744      5,636       X      X 28-4580      5636
               COLUMN TOTAL                                 32,092,023







                                                                                                                    FILE NO. 28-1235
PAGE  85 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FRESENIUS KABI PHARMACEUTHLD   RIGHT 06/30/20 35802M115            105        300       X      X 28-5284       300

FRESENIUS MED CARE AG&CO KGA   SPONSORED ADR  358029106         36,470        773       X        28-5284       773
                                                                50,483      1,070       X      X 28-5284       870               200

FRIEDMAN BILLINGS RAMSEY GRO   CL A           358434108            170      1,000       X        28-5284      1000

FRONTIER COMMUNICATIONS CORP   COM            35906A108         80,102      9,165       X        28-5284      9165
                                                               405,912     46,443       X      X 28-5284     34443             12000
                                                                57,238      6,549       X      X 28-4580      6549

FRONTIER FINL CORP WASH        COM            35907K105            388         89       X        28-5284        89

FRONTIER OIL CORP              COM            35914P105          7,578        600       X        28-5284       600
                                                                13,893      1,100       X      X 28-5284      1100

FUELCELL ENERGY INC            COM            35952H106         28,293      7,292       X      X 28-5284      7292

FUEL SYS SOLUTIONS INC         COM            35952W103          3,276        100       X        28-5284       100
                                                                   295          9       X      X 28-5284         9

FUEL TECH INC                  COM            359523107          7,413        700       X        28-5284       700
                                                                 1,059        100       X      X 28-5284       100

FUJIFILM HLDGS CORP            ADR 2 ORD      35958N107          5,244        236       X        28-5284       236
                                                                 1,111         50       X      X 28-5284        50

FULLER H B CO                  COM            359694106         30,367      1,885       X        28-5284      1885
                                                                   806         50       X        28-11135       50

FULTON FINL CORP PA            COM            360271100      1,629,657    169,403       X        28-5284    167889              1514
                                                             1,625,280    168,948       X      X 28-5284    114156             54792
                                                                27,831      2,893       X        28-4580      2893

FURNITURE BRANDS INTL INC      COM            360921100          5,238      2,370       X        28-5284      2350                20
                                                                   135         61       X        28-11135       61

G & K SVCS INC                 CL A           361268105         26,670      1,319       X        28-5284      1000               319
                                                                64,704      3,200       X      X 28-5284      3200

GAMCO INVESTORS INC            COM            361438104            546         20       X        28-5284        20
               COLUMN TOTAL                                  4,110,264







                                                                                                                    FILE NO. 28-1235
PAGE  86 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GATX CORP                      COM            361448103          3,252        105       X        28-5284       105
                                                                22,113        714       X      X 28-5284       714
                                                                 8,610        278       X        28-11135      278

GEO GROUP INC                  COM            36159R103          1,677         93       X        28-5284        93

GP STRATEGIES CORP             COM            36225V104          2,819        625       X        28-5284       625

GSE SYS INC                    COM            36227K106          5,900      1,000       X      X 28-5284      1000

GSI COMMERCE INC               COM            36238G102          2,346        223       X        28-11135      223

GABELLI GLOBAL MULTIMEDIA TR   COM            36239Q109            748        168       X        28-5284       168
                                                               149,943     33,695       X      X 28-5284               33695
                                                                   187         42       X        28-4580        42

GABELLI EQUITY TR INC          COM            362397101        598,153    161,663       X      X 28-5284     10500            151163
                                                                12,051      3,257       X        28-4580      3257

GABELLI UTIL TR                COM            36240A101        393,341     66,668       X      X 28-5284                       66668

GSI TECHNOLOGY                 COM            36241U106        641,985    234,301       X      X 28-5284              234301

GABELLI DIVD & INCOME TR       COM            36242H104         48,832      4,741       X        28-5284      4741

GABELLI GLOBAL DEAL FD         COM SBI        36245G103         19,710      1,500       X        28-5284      1500

GABELLI HLTHCARE & WELLNESS    SHS            36246K103            696        139       X        28-4580       139

GAIAM INC                      CL A           36268Q103            162         35       X        28-5284        35
                                                                 9,240      2,000       X      X 28-5284      2000

GALLAGHER ARTHUR J & CO        COM            363576109             26          1       X        28-5284                           1
                                                                25,910      1,000       X      X 28-5284      1000

GAMESTOP CORP NEW              CL A           36467W109        420,074     19,394       X        28-5284     18644               750
                                                               601,693     27,779       X      X 28-5284     27779
                                                               509,097     23,504       X        28-11135    23504
               COLUMN TOTAL                                  3,478,565







                                                                                                                    FILE NO. 28-1235
PAGE  87 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GANNETT INC                    COM            364730101      1,088,960    136,120       X        28-5284    130670              5450
                                                               757,864     94,733       X      X 28-5284     88558       800    5375
                                                                 1,216        152       X        28-11135      152
                                                                25,600      3,200       X        28-4580      3200
                                                                21,600      2,700       X      X 28-4580      2700

GAP INC DEL                    COM            364760108        404,606     30,217       X        28-5284     27772              2445
                                                               125,665      9,385       X      X 28-5284      6511              2874
                                                               700,083     52,284       X        28-11135    52284

GARDNER DENVER INC             COM            365558105         10,270        440       X        28-5284                         440

GARTNER INC                    COM            366651107         31,292      1,755       X        28-5284      1755
                                                                 3,245        182       X      X 28-5284       182

GAYLORD ENTMT CO NEW           COM            367905106            802         74       X        28-5284                          74
                                                                   195         18       X      X 28-5284        18

GATEWAY FINL HLDGS INC         COM            368140109         16,000      4,000       X      X 28-5284                        4000

GEN-PROBE INC NEW              COM            36866T103          2,956         69       X        28-5284        69
                                                                25,704        600       X      X 28-5284       600

GENAERA CORP                   COM NEW        36867G209        188,280    553,764       X      X 28-5284              553764

GENCOR INDS INC                COM            368678108      3,298,448    471,881       X      X 28-5284              471881

GENCORP INC                    COM            368682100          1,435        390       X        28-5284                         390

GENENTECH INC                  COM NEW        368710406      2,749,876     33,167       X        28-5284     31817              1350
                                                             1,592,204     19,204       X      X 28-5284     13719       275    5210
                                                               648,025      7,816       X        28-11135     7816
                                                               160,431      1,935       X        28-4580      1615               320
                                                                24,873        300       X      X 28-4580       300

GENERAL AMERN INVS INC         COM            368802104        154,669      8,889       X      X 28-5284      8889

GENERAL CABLE CORP DEL NEW     COM            369300108          5,962        337       X        28-5284       237               100

GENERAL COMMUNICATION INC      CL A           369385109          2,427        300       X        28-5284                         300
               COLUMN TOTAL                                 12,042,688







                                                                                                                    FILE NO. 28-1235
PAGE  88 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 DYNAMICS CORP          COM            369550108     29,930,156    519,711       X        28-5284    484735             34976
                                                            16,165,225    280,695       X      X 28-5284    259665      3247   17783
                                                                38,758        673       X        28-11135      673
                                                               469,416      8,151       X        28-4580      7844               307
                                                               244,527      4,246       X      X 28-4580      4139               107

GENERAL ELECTRIC CO            COM            369604103    190,881,716 11,782,822       X        28-5284  11341002      2708  439112
                                                           238,869,842 14,745,052       X      X 28-5284  13640554     39650 1064848
                                                               521,770     32,208       X        28-11135    32208
                                                             5,965,115    368,217       X        28-4580    364739              3478
                                                             6,633,333    409,465       X      X 28-4580    405613      3000     852

GENERAL EMPLOYMENT ENTERPRIS   COM            369730106            840      2,000       X      X 28-5284                2000

GENERAL GROWTH PPTYS INC       COM            370021107          4,898      3,797       X        28-5284      3797
                                                                 3,911      3,032       X      X 28-5284        32              3000

GENERAL MLS INC                COM            370334104     37,872,583    623,417       X        28-5284    580310             43107
                                                            32,151,938    529,250       X      X 28-5284    479697      3159   46394
                                                               283,156      4,661       X        28-11135     4661
                                                               693,158     11,410       X        28-4580     11010               400
                                                               248,407      4,089       X      X 28-4580      4089

GENERAL MTRS CORP              COM            370442105        274,320     85,725       X        28-5284     51305             34420
                                                               102,970     32,178       X      X 28-5284     20241             11937
                                                                   262         82       X        28-11135       82
                                                                 2,310        722       X        28-4580       722
                                                                   970        303       X      X 28-4580       303

GENERAL MTRS CORP              DEB SR CONV A  370442741        114,597     32,100       X      X 28-5284               32100

GENESCO INC                    COM            371532102          4,653        275       X        28-5284       115               160
                                                                 4,230        250       X      X 28-5284       250

GENESEE & WYO INC              CL A           371559105          6,100        200       X        28-5284       200
                                                               228,750      7,500       X      X 28-5284                        7500
                                                                 2,135         70       X        28-11135       70

GENESIS LEASE LTD              ADR            37183T107          4,245      1,500       X      X 28-5284                        1500

GENTEX CORP                    COM            371901109         77,042      8,725       X        28-5284      1985              6740
                                                                44,150      5,000       X      X 28-5284      5000
                                                               241,050     27,299       X        28-11135    27299
               COLUMN TOTAL                                562,086,533







                                                                                                                    FILE NO. 28-1235
PAGE  89 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GENESIS ENERGY L P             UNIT LTD PARTN 371927104          4,344        500       X        28-5284       500
                                                                86,880     10,000       X      X 28-5284     10000

GENTEK INC                     COM NEW        37245X203             45          3       X        28-5284         3

GENUINE PARTS CO               COM            372460105        784,459     20,720       X        28-5284     20020               700
                                                             2,413,121     63,738       X      X 28-5284     55401              8337
                                                                 3,483         92       X        28-11135       92
                                                               249,876      6,600       X        28-4580      6600

GENWORTH FINL INC              COM CL A       37247D106          4,406      1,557       X        28-5284        77              1480
                                                                 2,547        900       X      X 28-5284       900

GEOKINETICS INC                COM PAR $0.01  372910307          9,880      4,000       X      X 28-5284      4000

GENZYME CORP                   COM            372917104     14,960,993    225,418       X        28-5284    194357             31061
                                                             7,000,508    105,477       X      X 28-5284     88236       625   16616
                                                                98,228      1,480       X        28-11135     1480
                                                               104,002      1,567       X        28-4580      1387               180
                                                                39,822        600       X      X 28-4580       600

GEORGIA GULF CORP              COM PAR $0.01  373200203            246        230       X        28-5284                         230
                                                                   214        200       X      X 28-5284                         200

GERDAU AMERISTEEL CORP         COM            37373P105         10,605      1,750       X        28-5284      1750

GERBER SCIENTIFIC INC          COM            373730100            869        170       X        28-5284                         170

GERDAU S A                     SPONSORED ADR  373737105          3,300        500       X        28-5284       500
                                                                85,800     13,000       X      X 28-5284      8000              5000

GERON CORP                     COM            374163103          2,335        500       X        28-5284       500
                                                                   934        200       X      X 28-5284       200

GETTY RLTY CORP NEW            COM            374297109          1,601         76       X        28-5284        76
                                                               349,385     16,590       X      X 28-5284     16590

GEVITY HR INC                  COM            374393106            222        147       X        28-5284       147
               COLUMN TOTAL                                 26,218,105







                                                                                                                    FILE NO. 28-1235
PAGE  90 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GILEAD SCIENCES INC            COM            375558103     24,787,558    484,700       X        28-5284    471177             13523
                                                            19,106,671    373,615       X      X 28-5284    363615      2020    7980
                                                             1,134,899     22,192       X        28-11135    22192
                                                               774,822     15,151       X        28-4580     14781               370
                                                               230,897      4,515       X      X 28-4580      4515

GILDAN ACTIVEWEAR INC          COM            375916103      1,007,126     85,640       X        28-5284     75090             10550
                                                                62,798      5,340       X      X 28-5284      5340

GLACIER BANCORP INC NEW        COM            37637Q105        306,222     16,100       X      X 28-5284      8600              7500
                                                                44,031      2,315       X        28-11135     2315

GLADSTONE COML CORP            COM            376536108         19,550      2,300       X        28-5284      2300
                                                                86,445     10,170       X      X 28-5284     10170

GLADSTONE INVT CORP            COM            376546107          1,473        300       X        28-5284       300
                                                                 3,108        633       X        28-11135      633

GLATFELTER                     COM            377316104      1,363,241    146,585       X        28-5284    146385               200
                                                            11,260,217  1,210,776       X      X 28-5284   1209976       800

GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105      8,475,906    227,419       X        28-5284    201878             25541
                                                            21,678,356    581,657       X      X 28-5284    541525             40132
                                                               350,860      9,414       X        28-11135     9414
                                                                60,862      1,633       X        28-4580      1633
                                                               185,828      4,986       X      X 28-4580      4986

GLEN BURNIE BANCORP            COM            377407101        119,093     10,886       X                    10886

GLOBALSTAR INC                 COM            378973408            200      1,000       X      X 28-5284      1000

GLIMCHER RLTY TR               SH BEN INT     379302102         17,914      6,375       X        28-5284      6375
                                                                41,981     14,940       X      X 28-5284     14940

GLOBAL HIGH INCOME FUND INC    COM            37933G108         27,937      3,370       X        28-5284      3370

GLOBAL INDS LTD                COM            379336100            492        141       X        28-11135      141

GLOBAL PMTS INC                COM            37940X102        451,289     13,763       X        28-5284     13763
                                                                 3,738        114       X        28-11135      114

GMX RES INC                    COM            38011M108          1,266         50       X      X 28-5284        50

GMARKET INC                    SPON ADR       38012G100          6,866        398       X      X 28-5284       398
               COLUMN TOTAL                                 91,611,646







                                                                                                                    FILE NO. 28-1235
PAGE  91 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GOL LINHAS AEREAS INTLG S A    SP ADR REP PFD 38045R107            846        200       X      X 28-5284       200

GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106         12,909      1,300       X        28-5284                        1300

GOLD RESV INC                  NOTE  5.500% 6 38068NAB4         73,500      4,000       X        28-4580      4000

GOLDCORP INC NEW               COM            380956409        121,706      3,860       X        28-5284      3660               200
                                                               150,051      4,759       X      X 28-5284      3759              1000
                                                                94,590      3,000       X        28-4580      3000

GOLDEN STAR RES LTD CDA        COM            38119T104          1,000      1,000       X        28-5284      1000

GOLDMAN SACHS GROUP INC        COM            38141G104     32,410,401    384,055       X        28-5284    366735             17320
                                                            13,551,346    160,580       X      X 28-5284    150692      3060    6828
                                                               244,562      2,898       X        28-11135     2898
                                                               557,649      6,608       X        28-4580      6445               163
                                                               273,677      3,243       X      X 28-4580      3243

GOLF TR AMER INC               COM            38168B103          7,280      8,000       X      X 28-5284                8000

GOODRICH CORP                  COM            382388106      5,014,100    135,443       X        28-5284    128743              6700
                                                             2,682,210     72,453       X      X 28-5284     62160      2600    7693
                                                               163,443      4,415       X        28-11135     4415
                                                                 9,255        250       X        28-4580       250
                                                                14,808        400       X      X 28-4580       400

GOODRICH PETE CORP             COM NEW        382410405        241,427      8,061       X        28-11135     8061

GOODYEAR TIRE & RUBR CO        COM            382550101         22,298      3,735       X        28-5284      3735
                                                                 3,582        600       X      X 28-5284       600

GOOGLE INC                     CL A           38259P508      3,315,544     10,777       X        28-5284      9573              1204
                                                             2,294,761      7,459       X      X 28-5284      6679               780
                                                               649,142      2,110       X        28-11135     2110

GORMAN RUPP CO                 COM            383082104        117,976      3,791       X        28-5284      3791

GRACE W R & CO DEL NEW         COM            38388F108          9,988      1,673       X      X 28-5284       820               853

GRACO INC                      COM            384109104        213,807      9,010       X        28-5284      8580               430
                                                             1,012,678     42,675       X      X 28-5284     15800             26875
               COLUMN TOTAL                                 63,264,536







                                                                                                                    FILE NO. 28-1235
PAGE  92 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GRAFTECH INTL LTD              COM            384313102          1,664        200       X        28-5284       200
                                                                35,302      4,243       X        28-11135     4243

GRAINGER W W INC               COM            384802104      2,157,299     27,363       X        28-5284     23833              3530
                                                             2,781,869     35,285       X      X 28-5284     22583       800   11902
                                                                 8,672        110       X        28-11135      110

GRAMERCY CAP CORP              COM            384871109         43,109     33,679       X        28-5284     33679
                                                                46,392     36,244       X      X 28-5284     36244

GRANITE CONSTR INC             COM            387328107          4,701        107       X      X 28-5284       107

GREAT ATLANTIC & PAC TEA INC   COM            390064103          1,505        240       X        28-5284                         240
                                                                 6,483      1,034       X      X 28-5284      1012        22

GREAT FLA BK MIAMI LAKES FLA   CL A           390528107          3,050      1,000       X      X 28-5284      1000

GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102          6,793         95       X        28-5284        95

GREAT PLAINS ENERGY INC        COM            391164100        338,256     17,499       X        28-5284     11599              5900
                                                                98,254      5,083       X      X 28-5284      4783               300
                                                                16,488        853       X      X 28-4580       853

GREAT WOLF RESORTS INC         COM            391523107            154        100       X      X 28-5284       100

GREATER CHINA FD INC           COM            39167B102         17,455      2,098       X        28-5284      2098
                                                                10,200      1,226       X      X 28-5284      1226

GREEN MTN COFFEE ROASTERS IN   COM            393122106        349,848      9,040       X      X 28-5284      9040

GREENHILL & CO INC             COM            395259104         35,025        502       X        28-11135      502

GREIF INC                      CL A           397624107         32,895        984       X        28-11135      984

GRIFFON CORP                   COM            398433102          2,724        292       X        28-5284         2               290
                                                                21,552      2,310       X      X 28-5284      2310

GROUP 1 AUTOMOTIVE INC         COM            398905109          2,154        200       X        28-5284                         200

GRUBB & ELLIS CO               COM PAR $0.01  400095204          1,882      1,518       X        28-5284      1518

GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206          3,063        205       X        28-5284       205
                                                                 4,258        285       X      X 28-5284        85               200
               COLUMN TOTAL                                  6,031,047







                                                                                                                    FILE NO. 28-1235
PAGE  93 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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         21,300     30,000       X      X 28-5284     30000

GUARANTY FINL GROUP INC        COM            40108N106            765        293       X        28-5284       293

GUESS INC                      COM            401617105            169         11       X      X 28-5284        11
                                                                 1,136         74       X        28-11135       74

GULF ISLAND FABRICATION INC    COM            402307102        171,940     11,932       X        28-11135    11932

GULFMARK OFFSHORE INC          COM            402629109         11,895        500       X      X 28-5284       500

GUSHAN ENVIRONMENTAL ENRGY L   SPON ADR       40330W106         11,040      6,000       X      X 28-5284      6000

GYMBOREE CORP                  COM            403777105          6,262        240       X        28-5284                         240
                                                                39,187      1,502       X        28-11135     1502

H & E EQUIPMENT SERVICES INC   COM            404030108          8,867      1,150       X        28-5284      1150

H & Q LIFE SCIENCES INVS       SH BEN INT     404053100         60,601      7,014       X        28-5284      7014
                                                                 8,571        992       X      X 28-5284       992

HCC INS HLDGS INC              COM            404132102        242,088      9,050       X        28-5284      6471              2579
                                                               685,201     25,615       X      X 28-5284     25570                45

HCP INC                        COM            40414L109        906,441     32,641       X        28-5284     31761               880
                                                             1,173,727     42,266       X      X 28-5284     34966              7300
                                                                20,661        744       X        28-11135      744

HDFC BANK LTD                  ADR REPS 3 SHS 40415F101          2,356         33       X        28-5284        33
                                                                   286          4       X      X 28-5284         4

HLTH CORPORATION               COM            40422Y101            178         17       X        28-5284        17
                                                                    73          7       X      X 28-5284         7

HNI CORP                       COM            404251100         74,971      4,733       X        28-5284      4733
                                                                76,032      4,800       X      X 28-5284      4800

HRPT PPTYS TR                  COM SH BEN INT 40426W101         17,827      5,290       X        28-5284      5290
                                                               184,676     54,800       X      X 28-5284     53300              1500
                                                                33,700     10,000       X      X 28-4580     10000

HRPT PPTYS TR                  PFD CONV D     40426W507      1,347,605    138,500       X        28-11439   138500
               COLUMN TOTAL                                  5,107,555







                                                                                                                    FILE NO. 28-1235
PAGE  94 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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      1,007,420     20,699       X        28-5284     20252               447
                                                               402,744      8,275       X      X 28-5284      7473               802
                                                                76,412      1,570       X        28-11135     1570
                                                                 2,093         43       X        28-4580        43
                                                               194,680      4,000       X      X 28-4580      4000

HSBC HLDGS PLC                 ADR A 1/40PF A 404280604         85,468      4,600       X        28-5284      4600
                                                                26,012      1,400       X      X 28-5284      1400

HSN INC                        COM            404303109            153         21       X        28-5284        21
                                                                 1,018        140       X      X 28-5284       140

HAEMONETICS CORP               COM            405024100         11,865        210       X        28-5284                         210
                                                                11,300        200       X      X 28-5284       200
                                                                 2,882         51       X        28-11135       51

HAIN CELESTIAL GROUP INC       COM            405217100          6,300        330       X        28-5284                         330
                                                                11,454        600       X      X 28-5284       600
                                                                 1,241         65       X        28-11135       65

HALLIBURTON CO                 COM            406216101      4,858,896    267,266       X        28-5284    181684             85582
                                                             4,956,213    272,619       X      X 28-5284    248425      1200   22994
                                                                65,739      3,616       X        28-11135     3616
                                                                14,744        811       X        28-4580       811
                                                                58,176      3,200       X      X 28-4580      3200

HAMPTON ROADS BANKSHARES INC   COM            409321106         33,942      3,888       X        28-5284      3888
                                                             1,340,055    153,500       X      X 28-5284    140000             13500

HANCOCK JOHN INCOME SECS TR    COM            410123103          2,931        300       X        28-5284       300
                                                               137,757     14,100       X      X 28-5284                       14100

HANCOCK JOHN PATRIOT PREM II   COM SH BEN INT 41013T105          7,970      1,121       X        28-5284      1121

HANCOCK JOHN INVS TR           COM            410142103        244,200     18,500       X      X 28-5284      1000             17500

HANCOCK JOHN PFD INCOME FD I   COM            41021P103          8,103        736       X        28-5284       736

HANESBRANDS INC                COM            410345102        147,989     11,607       X        28-5284     11462               145
                                                               143,501     11,255       X      X 28-5284     11224                31

HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208         34,099      2,350       X        28-11135     2350
               COLUMN TOTAL                                 13,895,357







                                                                                                                    FILE NO. 28-1235
PAGE  95 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HANOVER CAP MTG HLDGS INC      COM            410761100            191      2,104       X      X 28-5284      2104

HANOVER INS GROUP INC          COM            410867105        257,820      6,000       X        28-5284      6000
                                                                30,294        705       X      X 28-5284        14               691
                                                                10,227        238       X        28-11135      238

HANSEN NAT CORP                COM            411310105        529,103     15,780       X        28-5284     15580               200
                                                               644,111     19,210       X      X 28-5284     17460              1750

HARLEY DAVIDSON INC            COM            412822108        683,229     40,261       X        28-5284     32671              7590
                                                               307,106     18,097       X      X 28-5284     15187      1710    1200
                                                                 2,546        150       X        28-4580       150
                                                                11,404        672       X      X 28-4580       672

HARLEYSVILLE GROUP INC         COM            412824104         67,029      1,930       X        28-5284      1930
                                                                26,048        750       X      X 28-5284       750

HARLEYSVILLE NATL CORP PA      COM            412850109      2,201,031    152,426       X        28-5284    152426
                                                               979,220     67,813       X      X 28-5284     67813

HARMAN INTL INDS INC           COM            413086109         22,251      1,330       X        28-5284      1330

HARMONIC INC                   COM            413160102          4,151        740       X        28-5284                         740
                                                               153,119     27,294       X        28-11135    27294

HARMONY GOLD MNG LTD           SPONSORED ADR  413216300         21,392      1,950       X        28-5284                        1950

HARRIS & HARRIS GROUP INC      COM            413833104            988        250       X        28-5284       250
                                                                   395        100       X      X 28-5284       100

HARRIS CORP DEL                COM            413875105        569,532     14,968       X        28-5284     14968
                                                             1,021,186     26,838       X      X 28-5284     20563       150    6125
                                                               406,450     10,682       X        28-11135    10682

HARRIS STRATEX NTWRKS INC      CL A           41457P106         12,900      2,500       X        28-5284      2500

HARSCO CORP                    COM            415864107         46,502      1,680       X        28-5284      1400               280
                                                               770,307     27,829       X      X 28-5284     26349              1480
                                                                 2,353         85       X        28-11135       85
               COLUMN TOTAL                                  8,780,885







                                                                                                                    FILE NO. 28-1235
PAGE  96 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HARTFORD FINL SVCS GROUP INC   COM            416515104      1,222,354     74,443       X        28-5284     66324              8119
                                                               349,746     21,300       X      X 28-5284     19892              1408
                                                                   985         60       X        28-11135       60
                                                                 2,217        135       X        28-4580        60                75

HARTFORD INCOME SHS FD INC     COM            416537108         16,560      3,600       X      X 28-5284                        3600

HARVEST ENERGY TR              TRUST UNIT     41752X101         30,432      3,470       X        28-5284      3470
                                                                95,874     10,932       X      X 28-5284      2000      8000     932

HASBRO INC                     COM            418056107     17,538,287    601,244       X        28-5284    563328             37916
                                                             3,956,998    135,653       X      X 28-5284    118010      4344   13299
                                                               391,870     13,434       X        28-4580     13280               154
                                                               151,596      5,197       X      X 28-4580      5197

HATTERAS FINL CORP             COM            41902R103         26,600      1,000       X      X 28-5284      1000

HAUPPAUGE DIGITAL INC          COM            419131107         72,800     65,000       X      X 28-5284               65000

HAVERTY FURNITURE INC          COM            419596101          1,847        198       X        28-5284       198

HAWAIIAN ELEC INDUSTRIES       COM            419870100          5,624        254       X        28-5284       254
                                                               248,699     11,233       X      X 28-5284     11233

HEALTHSOUTH CORP               COM NEW        421924309         13,010      1,187       X        28-5284      1187

HEALTH MGMT ASSOC INC NEW      CL A           421933102        235,512    131,571       X        28-5284    116056             15515
                                                                 3,849      2,150       X      X 28-5284      1400               750

HEALTHCARE RLTY TR             COM            421946104         23,222        989       X        28-5284       989
                                                                72,248      3,077       X      X 28-5284      3077
                                                                   376         16       X        28-11135       16

HEADWATERS INC                 COM            42210P102            473         70       X        28-5284        70
                                                                 4,725        700       X      X 28-5284       700

HEALTH CARE REIT INC           NOTE  4.750% 7 42217KAQ9      3,627,600      4,000       X        28-11439     4000

HEALTH CARE REIT INC           COM            42217K106      2,119,790     50,232       X        28-5284     46826              3406
                                                               499,732     11,842       X      X 28-5284     11267               575
               COLUMN TOTAL                                 30,713,026







                                                                                                                    FILE NO. 28-1235
PAGE  97 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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          5,510        506       X        28-5284       366               140
                                                                    11          1       X      X 28-5284         1
                                                                   414         38       X        28-11135       38

HEARST-ARGYLE TELEVISION INC   COM            422317107          1,697        280       X        28-5284                         280

HEARTLAND EXPRESS INC          COM            422347104          6,824        433       X        28-5284                         433
                                                                 2,994        190       X      X 28-5284       190

HEARTLAND PMT SYS INC          COM            42235N108         12,408        709       X        28-5284       709
                                                               111,965      6,398       X      X 28-5284      6398
                                                               271,285     15,502       X        28-11135    15502

HECLA MNG CO                   COM            422704106          4,550      1,625       X      X 28-5284      1625

HECLA MNG CO                   PFD CV SER B   422704205          7,680        200       X      X 28-5284                         200

HEICO CORP NEW                 COM            422806109         12,231        315       X      X 28-5284       315

HEICO CORP NEW                 CL A           422806208          5,676        196       X      X 28-5284       196

HEIDRICK & STRUGGLES INTL IN   COM            422819102          3,231        150       X        28-5284                         150
                                                                52,773      2,450       X      X 28-5284      2450
                                                               286,762     13,313       X        28-11135    13313

HEINZ H J CO                   COM            423074103     36,357,771    966,962       X        28-5284    922732             44230
                                                            26,358,352    701,020       X      X 28-5284    657167      3211   40642
                                                               344,717      9,168       X        28-11135     9168
                                                             1,388,794     36,936       X        28-4580     36836               100
                                                               845,737     22,493       X      X 28-4580     22493

HELLENIC TELECOM ORGANIZATN    SPONSORED ADR  423325307         18,265      2,198       X        28-5284      2198

HELMERICH & PAYNE INC          COM            423452101         29,120      1,280       X        28-5284      1200                80
                                                                22,750      1,000       X      X 28-5284      1000
                                                                69,456      3,053       X        28-11135     3053

HENRY JACK & ASSOC INC         COM            426281101         35,462      1,827       X        28-5284      1827
                                                                21,351      1,100       X      X 28-5284       500               600

HERCULES OFFSHORE INC          COM            427093109          4,869      1,025       X        28-5284      1025

HERCULES TECH GROWTH CAP INC   COM            427096508          8,712      1,100       X        28-5284      1100
               COLUMN TOTAL                                 66,291,367







                                                                                                                    FILE NO. 28-1235
PAGE  98 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HERSHA HOSPITALITY TR          SH BEN INT A   427825104         55,905     18,635       X        28-5284     18635
                                                                 3,240      1,080       X      X 28-5284      1080

HERSHEY CO                     COM            427866108      2,471,786     71,151       X        28-5284     55225             15926
                                                             9,306,603    267,893       X      X 28-5284    264003              3890
                                                                27,410        789       X        28-4580       789
                                                                19,107        550       X      X 28-4580       550

HERTZ GLOBAL HOLDINGS INC      COM            42805T105            679        134       X        28-5284       134

HESS CORP                      COM            42809H107        205,441      3,830       X        28-5284      2910               920
                                                               437,488      8,156       X      X 28-5284      7555       501     100
                                                                10,192        190       X      X 28-4580       190

HEWITT ASSOCS INC              COM            42822Q100          1,930         68       X        28-5284        68

HEWLETT PACKARD CO             COM            428236103     83,160,531  2,291,555       X        28-5284   2173306            118249
                                                            67,926,678  1,871,774       X      X 28-5284   1750362     17614  103798
                                                               738,247     20,343       X        28-11135    20343
                                                             1,758,722     48,463       X        28-4580     47715               748
                                                             2,724,327     75,071       X      X 28-4580     75071

HEXCEL CORP NEW                COM            428291108         18,748      2,537       X        28-5284      2537

HIBBETT SPORTS INC             COM            428567101            440         28       X      X 28-5284        28

HIGH YIELD PLUS FD INC         COM            429906100          1,937      1,000       X        28-5284      1000

HIGHLAND CR STRATEGIES FD      COM            43005Q107          5,700      1,000       X      X 28-5284      1000

HIGHWOODS PPTYS INC            COM            431284108        207,936      7,600       X        28-5284      7600
                                                                   246          9       X      X 28-5284         9
                                                               168,291      6,151       X        28-11135     6151

HILL INTERNATIONAL INC         COM            431466101          7,040      1,000       X      X 28-5284      1000

HILL ROM HLDGS INC             COM            431475102      1,702,606    103,439       X        28-5284     13819             89620
                                                             4,370,690    265,534       X      X 28-5284    179110     36424   50000

HILLENBRAND INC                COM            431571108      1,720,359    103,139       X        28-5284     13619             89520
                                                             4,445,787    266,534       X      X 28-5284    180109     36425   50000

HIMAX TECHNOLOGIES INC         SPONSORED ADR  43289P106          1,610      1,000       X        28-5284      1000
               COLUMN TOTAL                                181,499,676







                                                                                                                    FILE NO. 28-1235
PAGE  99 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HIRSCH INTL CORP               CL A           433550100        138,237    493,702       X      X 28-5284              493702

HITACHI LIMITED                ADR 10 COM     433578507         24,032        614       X        28-5284       614
                                                                   783         20       X      X 28-5284        20

HOLLY ENERGY PARTNERS L P      COM UT LTD PTN 435763107         64,050      3,000       X        28-5284      3000

HOLLIS-EDEN PHARMACEUTICALS    COM            435902101          4,760      7,000       X        28-5284      7000
                                                                 2,040      3,000       X      X 28-5284      3000

HOLOGIC INC                    COM            436440101         98,443      7,532       X        28-5284      7532
                                                                 5,228        400       X      X 28-5284       400
                                                                97,006      7,422       X        28-11135     7422

HOME DEPOT INC                 COM            437076102     14,603,220    634,371       X        28-5284    577573             56798
                                                            12,004,700    521,490       X      X 28-5284    430607     12343   78540
                                                                28,061      1,219       X        28-11135     1219
                                                               451,629     19,619       X        28-4580     19619
                                                               302,713     13,150       X      X 28-4580     13150

HOME DIAGNOSTICS INC DEL       COM            437080104        136,506     27,466       X        28-11135    27466

HOME PROPERTIES INC            COM            437306103        554,677     13,662       X        28-5284       662             13000

HONDA MOTOR LTD                AMERN SHS      438128308        203,626      9,542       X        28-5284      8762               780
                                                               426,437     19,983       X      X 28-5284     19333               650

HONEYWELL INTL INC             COM            438516106      8,377,330    255,173       X        28-5284    229338             25835
                                                             6,285,533    191,457       X      X 28-5284    156549       635   34273
                                                               271,209      8,261       X        28-11135     8261
                                                                42,482      1,294       X        28-4580      1174               120
                                                               233,618      7,116       X      X 28-4580      7116

HORIZON LINES INC              COM            44044K101          4,188      1,200       X        28-5284      1200

HORMEL FOODS CORP              COM            440452100        160,062      5,150       X        28-5284      5150
                                                               881,118     28,350       X      X 28-5284     10595             17755
                                                                46,620      1,500       X        28-4580      1500

HORNBECK OFFSHORE SVCS INC N   COM            440543106            539         33       X        28-5284        33

HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102         50,885      3,422       X        28-5284      3422
                                                               551,380     37,080       X      X 28-5284     33980              3100
               COLUMN TOTAL                                 46,051,112







                                                                                                                    FILE NO. 28-1235
PAGE 100 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HOSPIRA INC                    COM            441060100        605,247     22,567       X        28-5284     21258              1309
                                                               881,278     32,859       X      X 28-5284     26489       600    5770
                                                                 3,674        137       X        28-11135      137
                                                               171,702      6,402       X      X 28-4580      6402

HOST HOTELS & RESORTS INC      COM            44107P104        399,870     52,823       X        28-5284     52823
                                                                78,637     10,388       X      X 28-5284     10388
                                                               110,333     14,575       X        28-11135    14575

HOT TOPIC INC                  COM            441339108          2,874        310       X        28-5284                         310

HOUSTON WIRE & CABLE CO        COM            44244K109         14,896      1,600       X      X 28-5284      1600

HOVNANIAN ENTERPRISES INC      CL A           442487203            172        100       X        28-5284       100
                                                                   688        400       X      X 28-5284       400

HUANENG PWR INTL INC           SPON ADR H SHS 443304100         42,515      1,457       X        28-5284       457              1000
                                                                23,344        800       X      X 28-5284       800

HUBBELL INC                    CL A           443510102         42,281      1,384       X        28-5284      1384
                                                               503,800     16,491       X      X 28-5284     10541              5950

HUBBELL INC                    CL B           443510201        225,329      6,895       X        28-5284      1795              5100
                                                               718,927     21,999       X      X 28-5284     17759              4240
                                                                 1,830         56       X        28-11135       56

HUDSON CITY BANCORP            COM            443683107     21,404,802  1,341,153       X        28-5284   1232395            108758
                                                             6,496,566    407,053       X      X 28-5284    380546      9626   16881
                                                               376,863     23,613       X        28-4580     23613
                                                               168,155     10,536       X      X 28-4580      9036      1500

HUGOTON RTY TR TEX             UNIT BEN INT   444717102         53,992      3,364       X        28-5284      3364
                                                                   867         54       X      X 28-5284        54

HUMANA INC                     COM            444859102        355,092      9,525       X        28-5284      8905               620
                                                               600,208     16,100       X      X 28-5284     16100
                                                               178,944      4,800       X        28-11135     4800

HUMAN GENOME SCIENCES INC      COM            444903108          3,180      1,500       X        28-5284      1500
                                                                   424        200       X      X 28-5284       200
               COLUMN TOTAL                                 33,466,490







                                                                                                                    FILE NO. 28-1235
PAGE 101 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HUNT J B TRANS SVCS INC        COM            445658107          9,431        359       X        28-5284       216               143
                                                                   158          6       X      X 28-5284         6
                                                                11,401        434       X        28-11135      434

HUNTINGTON BANCSHARES INC      COM            446150104        561,386     73,288       X        28-5284     59508             13780
                                                               440,894     57,558       X      X 28-5284     57558
                                                                 2,444        319       X        28-11135      319
                                                                82,161     10,726       X      X 28-4580     10726

HUNTSMAN CORP                  COM            447011107          3,440      1,000       X        28-5284      1000
                                                                 8,600      2,500       X      X 28-5284      2500

HURON CONSULTING GROUP INC     COM            447462102            859         15       X        28-11135       15

HUTCHINSON TECHNOLOGY INC      COM            448407106            696        200       X        28-5284                         200

HUTCHISON TELECOMM INTL LTD    SPONSORED ADR  44841T107            454        112       X        28-5284       112

HYDROGENICS CORP               COM            448882100            323        787       X      X 28-5284       787

HYPERDYNAMICS CORP             COM            448954107            450      1,000       X        28-5284      1000

IAC INTERACTIVECORP            COM PAR $.001  44919P508          6,135        390       X        28-5284       130               260
                                                                 5,506        350       X      X 28-5284       350

ICO INC NEW                    COM            449293109          6,320      2,000       X      X 28-5284      2000

ICO GLOBAL COMM HLDGS LTD DE   CL A           44930K108          1,961      1,735       X        28-5284      1735

ICAD INC                       COM            44934S107            226        200       X      X 28-5284       200

ICX TECHNOLOGIES INC           COM            44934T105        639,191     80,808       X      X 28-5284     80808

ING PRIME RATE TR              SH BEN INT     44977W106         15,875      4,840       X        28-5284      4840
                                                                 9,840      3,000       X      X 28-5284      3000

ING CLARION REAL EST INCOME    COM SHS        449788108          5,616      1,600       X        28-5284      1600

ING CLARION GLB RE EST INCM    COM            44982G104         34,240      8,603       X        28-5284      6169              2434
                                                                 3,980      1,000       X      X 28-5284      1000
               COLUMN TOTAL                                  1,851,587







                                                                                                                    FILE NO. 28-1235
PAGE 102 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
IMS HEALTH INC                 COM            449934108        345,011     22,758       X        28-5284     20358              2400
                                                               256,628     16,928       X      X 28-5284     16928
                                                                12,128        800       X      X 28-4580       800

ISTAR FINL INC                 COM            45031U101          4,460      2,000       X        28-5284      2000
                                                                31,666     14,200       X      X 28-5284     14200

ITT EDUCATIONAL SERVICES INC   COM            45068B109         73,704        776       X        28-5284       776
                                                               120,150      1,265       X      X 28-5284      1265
                                                             1,348,716     14,200       X      X 28-4580     14200

IVAX DIAGNOSTICS INC           COM            45070W109         75,088    144,400       X      X 28-5284              144400

IBASIS INC                     COM NEW        450732201        134,610     95,468       X      X 28-5284               95468

ITT CORP NEW                   COM            450911102     36,393,957    791,345       X        28-5284    751024             40321
                                                            15,941,008    346,619       X      X 28-5284    329407      3588   13624
                                                               477,836     10,390       X        28-4580     10260               130
                                                               399,423      8,685       X      X 28-4580      8685

ICON PUB LTD CO                SPONSORED ADR  45103T107         20,773      1,055       X        28-5284      1055

ICICI BK LTD                   ADR            45104G104         54,766      2,845       X        28-5284      1445              1400
                                                                15,400        800       X      X 28-5284       800

ICAHN ENTERPRISES LP           DEPOSITRY UNIT 451100101         33,830      1,279       X        28-5284      1279

IDACORP INC                    COM            451107106         16,198        550       X        28-5284       550
                                                                28,478        967       X      X 28-5284       667               300

IDEXX LABS INC                 COM            45168D104        515,944     14,300       X        28-5284     13500               800
                                                               954,352     26,451       X      X 28-5284      8576             17875

IGATE CORP                     COM            45169U105         26,040      4,000       X        28-5284      4000
                                                                 9,765      1,500       X      X 28-5284      1500

IHS INC                        CL A           451734107          5,201        139       X        28-11135      139

ILLINOIS TOOL WKS INC          COM            452308109     20,592,646    587,522       X        28-5284    552900             34622
                                                            15,581,618    444,554       X      X 28-5284    377778      1950   64826
                                                               882,068     25,166       X        28-4580     25166
                                                               241,004      6,876       X      X 28-4580      6876
               COLUMN TOTAL                                 94,592,468







                                                                                                                    FILE NO. 28-1235
PAGE 103 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ILLUMINA INC                   COM            452327109         19,277        740       X        28-5284       740

IMATION CORP                   COM            45245A107          2,103        155       X        28-5284       105                50
                                                                22,580      1,664       X      X 28-5284      1664

IMAX CORP                      COM            45245E109          2,230        500       X        28-5284       500
                                                                22,300      5,000       X      X 28-5284      5000

IMMUCOR INC                    COM            452526106         45,824      1,724       X        28-11135     1724

IMMUNOGEN INC                  COM            45253H101          8,580      2,000       X        28-5284      2000
                                                                 6,435      1,500       X      X 28-5284      1500

IMPERIAL OIL LTD               COM NEW        453038408        202,657      6,010       X        28-5284      6010
                                                               848,058     25,150       X      X 28-5284     12750             12400

INCYTE CORP                    COM            45337C102            379        100       X        28-5284       100

INDEPENDENT BANK CORP MASS     COM            453836108         19,620        750       X      X 28-5284       750

INDEVUS PHARMACEUTICALS INC    COM            454072109          3,140      1,000       X        28-5284      1000

INDIA FD INC                   COM            454089103         77,702      4,246       X        28-5284      4121               125
                                                             1,982,823    108,351       X      X 28-5284    108351

INDUSTRIAS BACHOCO S A B DE    SPON ADR B     456463108          2,900        200       X        28-5284       200

INERGY L P                     UNIT LTD PTNR  456615103          1,704        100       X        28-5284       100
                                                                17,040      1,000       X      X 28-5284                        1000

INFINEON TECHNOLOGIES AG       SPONSORED ADR  45662N103          2,605      1,861       X        28-5284      1861

INFOCUS CORP                   COM            45665B106      1,194,787  1,514,306       X      X 28-5284             1514306

INFOLOGIX INC                  COM            45668X105         65,000    125,000       X        28-5284    125000

INFOSPACE INC                  COM NEW        45678T201          3,775        500       X      X 28-5284                 500

INFOSYS TECHNOLOGIES LTD       SPONSORED ADR  456788108         28,280      1,151       X        28-5284       151              1000
                                                                24,570      1,000       X      X 28-5284                        1000
                                                               116,413      4,738       X        28-11135     4738
               COLUMN TOTAL                                  4,720,782







                                                                                                                    FILE NO. 28-1235
PAGE 104 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ING GROEP N V                  SPONSORED ADR  456837103         29,149      2,626       X        28-5284      1626              1000
                                                                   244         22       X      X 28-5284        22
                                                               232,290     20,927       X        28-11135    20927
                                                                 1,110        100       X        28-4580       100

ING GLOBAL EQTY DIV & PREM O   COM            45684E107         44,826      4,607       X        28-5284      4607
                                                                 2,433        250       X      X 28-5284       250

INGLES MKTS INC                CL A           457030104            106          6       X        28-11135        6

INGRAM MICRO INC               CL A           457153104            616         46       X        28-5284        46
                                                                 2,236        167       X      X 28-5284       167

INHIBITEX INC                  COM            45719T103        178,779    684,978       X      X 28-5284              684978

INLAND REAL ESTATE CORP        COM NEW        457461200          2,596        200       X        28-5284       200

INSIGHT ENTERPRISES INC        COM            45765U103          2,622        380       X        28-5284                         380

INSITUFORM TECHNOLOGIES INC    CL A           457667103          4,332        220       X        28-5284                         220

INNOSPEC INC                   COM            45768S105          4,653        790       X        28-5284       790
                                                                   589        100       X      X 28-5284                         100

INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105          5,925      1,500       X        28-5284      1500

INSTEEL INDUSTRIES INC         COM            45774W108          9,032        800       X        28-5284       800
                                                                15,806      1,400       X      X 28-5284      1400

INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208        405,498     11,400       X        28-5284     11400
                                                                10,671        300       X      X 28-5284       300

INSWEB CORP                    COM NEW        45809K202        597,509    251,054       X      X 28-5284              251054

INTEGRATED DEVICE TECHNOLOGY   COM            458118106            914        163       X        28-5284       163

INTEGRATED SILICON SOLUTION    COM            45812P107            212        130       X        28-5284       130
                                                               883,137    541,802       X      X 28-5284              541802
               COLUMN TOTAL                                  2,435,285







                                                                                                                    FILE NO. 28-1235
PAGE 105 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INTEL CORP                     COM            458140100     74,946,054  5,112,282       X        28-5284   4848930            263352
                                                            71,642,057  4,886,907       X      X 28-5284   4375234     24590  487083
                                                             1,080,750     73,721       X        28-11135    73721
                                                             1,356,065     92,501       X        28-4580     91695               806
                                                             1,167,009     79,605       X      X 28-4580     79305       300

INTEGRYS ENERGY GROUP INC      COM            45822P105        283,754      6,602       X        28-5284      6402               200
                                                               684,070     15,916       X      X 28-5284     15916
                                                                85,960      2,000       X      X 28-4580      2000

INTER PARFUMS INC              COM            458334109            653         85       X        28-11135       85

INTERACTIVE BROKERS GROUP IN   COM            45841N107         24,402      1,364       X        28-11135     1364

INTERCONTINENTAL HTLS GRP PL   SPONS ADR NEW  45857P301         16,874      2,016       X        28-5284      2016

INTERCONTINENTALEXCHANGE INC   COM            45865V100      1,008,489     12,233       X        28-5284     11087              1146
                                                                23,908        290       X      X 28-5284       290
                                                                15,664        190       X        28-11135      190

INTERFACE INC                  CL A           458665106          2,042        440       X        28-5284                         440
                                                                23,200      5,000       X      X 28-5284      5000

INTERDIGITAL INC               COM            45867G101          3,438        125       X        28-5284       125

INTERMEC INC                   COM            458786100          6,640        500       X        28-5284       500
                                                                10,624        800       X      X 28-5284       800

INTERNAP NETWORK SVCS CORP     COM PAR $.001  45885A300         12,573      5,029       X      X 28-5284      5029

INTERNATIONAL BUSINESS MACHS   COM            459200101    109,361,796  1,299,451       X        28-5284   1233692             65759
                                                           142,476,568  1,692,925       X      X 28-5284   1533341     10559  149025
                                                             1,338,565     15,905       X        28-11135    15905
                                                             4,188,307     49,766       X        28-4580     49716                50
                                                             4,628,884     55,001       X      X 28-4580     55001

INTERNATIONAL COAL GRP INC N   COM            45928H106          4,600      2,000       X        28-5284      2000
                                                               236,325    102,750       X      X 28-5284    102750

INTERNATIONAL FLAVORS&FRAGRA   COM            459506101        202,096      6,800       X        28-5284      2630              4170
                                                               165,808      5,579       X      X 28-5284      3500              2079
               COLUMN TOTAL                                414,997,175







                                                                                                                    FILE NO. 28-1235
PAGE 106 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INTERNATIONAL GAME TECHNOLOG   COM            459902102        244,934     20,600       X        28-5284     19480              1120
                                                                 7,134        600       X      X 28-5284       600

INTL PAPER CO                  COM            460146103      1,738,836    147,359       X        28-5284    138708              8651
                                                             1,189,357    100,793       X      X 28-5284     97041       870    2882
                                                               165,696     14,042       X        28-11135    14042
                                                                16,201      1,373       X        28-4580      1373
                                                                30,975      2,625       X      X 28-4580      2625

INTERNATIONAL RECTIFIER CORP   COM            460254105         27,851      2,063       X        28-5284      2063
                                                                39,609      2,934       X        28-11135     2934

INTERNATIONAL SHIPHOLDING CO   COM NEW        460321201         76,775      3,031       X        28-5284      3031

INTERNATIONAL SPEEDWAY CORP    CL A           460335201         12,067        420       X        28-5284       420
                                                                 2,873        100       X      X 28-5284                         100

INTERNET CAP GROUP INC         COM NEW        46059C205         28,607      5,249       X        28-5284      5249
                                                                 3,968        728       X      X 28-5284         3       725

INTERNET INITIATIVE JAPAN IN   SPONSORED ADR  46059T109          5,880      2,000       X        28-5284      2000

INTERSIL CORP                  CL A           46069S109          1,379        150       X        28-5284       150
                                                                 5,514        600       X      X 28-5284       600

INTERPUBLIC GROUP COS INC      COM            460690100         24,643      6,223       X        28-5284      6223
                                                                11,924      3,011       X      X 28-5284      3011

INTERSTATE HOTELS & RESRTS I   COM            46088S106         36,253     52,540       X        28-5284     52540

INTERSECTIONS INC              COM            460981301          1,560        300       X      X 28-5284       300

INTERVAL LEISURE GROUP INC     COM            46113M108            113         21       X        28-5284        21
                                                                   755        140       X      X 28-5284       140
                                                                 9,648      1,790       X        28-11135     1790

INTEST CORP                    COM            461147100         44,650    178,598       X        28-5284    178598

INTUITIVE SURGICAL INC         COM NEW        46120E602      1,905,993     15,009       X        28-5284     13908              1101
                                                             1,235,359      9,728       X      X 28-5284      7573      1655     500
                                                                17,779        140       X        28-11135      140
                                                                   508          4       X        28-4580         4
               COLUMN TOTAL                                  6,886,841







                                                                                                                    FILE NO. 28-1235
PAGE 107 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INTUIT                         COM            461202103        198,694      8,352       X        28-5284      6572              1780
                                                             1,054,230     44,314       X      X 28-5284     43654               660
                                                                 7,779        327       X        28-11135      327

INVACARE CORP                  COM            461203101          4,035        260       X        28-5284                         260

INTREPID POTASH INC            COM            46121Y102          5,151        248       X        28-5284       248

INVENTIV HEALTH INC            COM            46122E105         86,769      7,519       X        28-11135     7519
                                                                 1,823        158       X        28-4580       158

INVERNESS MED INNOVATIONS IN   COM            46126P106            662         35       X        28-5284        35

INVERNESS MED INNOVATIONS IN   PFD CONV SER B 46126P304          8,452         69       X      X 28-5284        69

INVESTMENT TECHNOLOGY GRP NE   COM            46145F105          4,658        205       X        28-5284       125                80

IOWA TELECOMM SERVICES INC     COM            462594201         21,991      1,540       X        28-5284      1540
                                                               105,672      7,400       X      X 28-5284      7400

IRELAND BK                     SPONSORED ADR  46267Q103          4,007        840       X        28-5284       840

IROBOT CORP                    COM            462726100         27,090      3,000       X      X 28-5284                        3000

IRON MTN INC                   COM            462846106        534,762     21,624       X        28-5284     20757               867
                                                               809,462     32,732       X      X 28-5284     14357             18375

ISHARES SILVER TRUST           ISHARES        46428Q109         87,360      7,800       X        28-5284      7800
                                                               190,075     16,971       X      X 28-5284     16971
                                                               112,000     10,000       X        28-4580     10000

ISHARES S&P GSCI COMMODITY I   UNIT BEN INT   46428R107         62,570      2,187       X        28-5284      2187

ISHARES COMEX GOLD TR          ISHARES        464285105      1,219,653     14,074       X        28-5284     14074
                                                             5,357,235     61,819       X      X 28-5284     61819

ISHARES INC                    MSCI AUSTRALIA 464286103          7,005        500       X        28-5284       500
                                                               176,876     12,625       X      X 28-5284     12625

ISHARES INC                    MSCI AUSTRIA I 464286202         17,694      1,359       X      X 28-5284      1359
               COLUMN TOTAL                                 10,105,705







                                                                                                                    FILE NO. 28-1235
PAGE 108 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 BRAZIL    464286400        121,380      3,469       X        28-5284      3469
                                                               298,605      8,534       X      X 28-5284      8534
                                                                 2,204         63       X        28-11135       63

ISHARES INC                    MSCI CDA INDEX 464286509        102,436      5,877       X        28-5284      5877
                                                               227,932     13,077       X      X 28-5284     13077

ISHARES INC                    MSCI EMU INDEX 464286608      3,100,334    101,285       X        28-5284    101285
                                                               635,096     20,748       X      X 28-5284     19948       800
                                                                   122          4       X        28-11135        4
                                                               467,415     15,270       X        28-4580     15270
                                                               527,625     17,237       X      X 28-4580     16837               400

ISHARES INC                    MSCI BRIC INDX 464286657         65,172      2,610       X        28-5284      2610
                                                               309,179     12,382       X      X 28-5284     12382

ISHARES INC                    MSCI PAC J IDX 464286665     26,609,284  1,009,840       X        28-5284   1005766              4074
                                                             3,773,610    143,211       X      X 28-5284    139054       303    3854
                                                               866,652     32,890       X        28-11135    32890
                                                             1,565,243     59,402       X        28-4580     58202              1200
                                                             1,948,820     73,959       X      X 28-4580     70059              3900

ISHARES INC                    MSCI SINGAPORE 464286673         38,775      5,500       X        28-5284      5500
                                                                59,389      8,424       X      X 28-5284      7524               900
                                                                 1,410        200       X      X 28-4580       200

ISHARES INC                    MSCI FRANCE    464286707         13,730        656       X        28-5284       656

ISHARES INC                    MSCI TAIWAN    464286731         70,724      9,318       X      X 28-5284      9318
                                                                56,409      7,432       X        28-11135     7432

ISHARES INC                    MSCI SWITZERLD 464286749          9,270        500       X        28-5284       500
                                                               238,832     12,882       X      X 28-5284     12882

ISHARES INC                    MSCI SPAIN     464286764         83,302      2,202       X        28-5284      2202
                                                                12,635        334       X      X 28-5284       334

ISHARES INC                    MSCI S KOREA   464286772          1,510         54       X        28-5284        54
                                                               214,306      7,662       X      X 28-5284      7662

ISHARES INC                    MSCI STH AFRCA 464286780          5,548        144       X      X 28-5284       144

ISHARES INC                    MSCI GERMAN    464286806          2,114        110       X        28-5284       110
               COLUMN TOTAL                                 41,429,063







                                                                                                                    FILE NO. 28-1235
PAGE 109 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MEX INVES 464286822          6,454        200       X      X 28-5284       200

ISHARES INC                    MSCI MALAYSIA  464286830         69,211      9,494       X      X 28-5284      9494

ISHARES INC                    MSCI JAPAN     464286848     17,133,610  1,788,477       X        28-5284   1788377               100
                                                             2,146,686    224,080       X      X 28-5284    223580               500
                                                                98,157     10,246       X        28-11135    10246
                                                               215,234     22,467       X        28-4580     19467              3000
                                                             3,422,647    357,270       X      X 28-4580    349270              8000

ISHARES INC                    MSCI HONG KONG 464286871         10,163        980       X        28-5284       980
                                                                 7,456        719       X      X 28-5284       719

ISHARES TR                     S&P 100 IDX FD 464287101     13,431,053    310,904       X        28-5284    297912             12992
                                                             4,175,712     96,660       X      X 28-5284     36660             60000
                                                                28,253        654       X        28-4580       654
                                                                 9,504        220       X      X 28-4580       220

ISHARES TR                     LRGE GRW INDX  464287119        148,124      3,597       X        28-5284      3597
                                                                 4,942        120       X      X 28-5284       120

ISHARES TR                     DJ SEL DIV INX 464287168     22,528,732    545,622       X        28-5284    540815              4807
                                                            15,871,959    384,402       X      X 28-5284    377494      1239    5669
                                                               777,821     18,838       X        28-4580     14514              4324
                                                               365,086      8,842       X      X 28-4580      8842

ISHARES TR                     BARCLYS TIPS B 464287176     22,034,555    222,033       X        28-5284    220185              1848
                                                             5,560,715     56,033       X      X 28-5284     54308      1475     250
                                                               807,020      8,132       X        28-11135     8132
                                                             1,719,730     17,329       X        28-4580     15799              1530
                                                               571,325      5,757       X      X 28-4580      5257               500

ISHARES TR                     FTSE XNHUA IDX 464287184        213,375      7,335       X        28-5284      7335
                                                             1,127,994     38,776       X      X 28-5284     38257       210     309
                                                                 2,269         78       X        28-11135       78

ISHARES TR                     TRANSP AVE IDX 464287192         31,655        500       X        28-5284       500

ISHARES TR                     S&P 500 INDEX  464287200    193,400,762  2,141,521       X        28-5284   2091402             50119
                                                            54,874,433    607,623       X      X 28-5284    539784     32076   35763
                                                                40,640        450       X        28-11135      450
                                                             3,969,666     43,956       X        28-4580     43956
                                                             1,208,077     13,377       X      X 28-4580     13377
               COLUMN TOTAL                                366,013,020







                                                                                                                    FILE NO. 28-1235
PAGE 110 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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                     BARCLYS US AGG 464287226    108,293,184  1,039,282       X        28-5284   1029965              9317
                                                            17,625,222    169,148       X      X 28-5284    146493     16847    5808
                                                             1,702,315     16,337       X        28-11135    16337
                                                               413,466      3,968       X        28-4580      3968
                                                                27,196        261       X      X 28-4580       261

ISHARES TR                     MSCI EMERG MKT 464287234     30,324,991  1,214,457       X        28-5284   1196734             17723
                                                            12,368,740    495,344       X      X 28-5284    459961      6870   28513
                                                               386,810     15,491       X        28-4580     15491
                                                               606,396     24,285       X      X 28-4580     20703      2700     882

ISHARES TR                     IBOXX INV CPBD 464287242     53,252,504    523,881       X        28-5284    520207              3674
                                                            14,840,290    145,994       X      X 28-5284    140056      2442    3496
                                                               294,785      2,900       X      X 28-4580      2900

ISHARES TR                     S&P GBL TELCM  464287275          2,567         50       X      X 28-5284        50

ISHARES TR                     S&P GBL INF    464287291         18,870        510       X        28-5284       510
                                                                31,265        845       X      X 28-5284       845

ISHARES TR                     S&P500 GRW     464287309     23,706,281    527,627       X        28-5284    526763               864
                                                             4,823,999    107,367       X      X 28-5284     99117      3950    4300
                                                               189,964      4,228       X        28-4580      4228

ISHARES TR                     S&P GBL HLTHCR 464287325          9,050        200       X        28-5284       200
                                                               728,525     16,100       X      X 28-4580     16100

ISHARES TR                     S&P GBL ENER   464287341         61,534      2,103       X        28-5284      2103
                                                                 4,477        153       X      X 28-5284       153

ISHARES TR                     S&P NA NAT RES 464287374      8,378,717    330,913       X        28-5284    315771             15142
                                                             1,069,745     42,249       X      X 28-5284     37892              4357
                                                             1,573,056     62,127       X        28-11135    62127
                                                             2,442,823     96,478       X        28-4580     90478              6000
                                                             4,347,723    171,711       X      X 28-4580    168711              3000

ISHARES TR                     S&P LTN AM 40  464287390      1,224,470     48,075       X        28-5284     48075
                                                             1,255,646     49,299       X      X 28-5284     48199       720     380
                                                               141,409      5,552       X      X 28-4580      5552
               COLUMN TOTAL                                290,146,020







                                                                                                                    FILE NO. 28-1235
PAGE 111 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 VALUE  464287408     20,789,622    460,151       X        28-5284    445371             14780
                                                             1,918,207     42,457       X      X 28-5284     39857              2600
                                                               105,134      2,327       X        28-4580      2327
                                                               180,720      4,000       X      X 28-4580      2000              2000

ISHARES TR                     BARCLYS 20+ YR 464287432      7,691,391     64,444       X        28-5284     64444
                                                               305,536      2,560       X      X 28-5284      2560

ISHARES TR                     BARCLYS 7-10 Y 464287440      8,517,820     86,449       X        28-5284     85551               898
                                                             1,302,567     13,220       X      X 28-5284     13205        15
                                                               130,454      1,324       X        28-4580      1324

ISHARES TR                     BARCLYS 1-3 YR 464287457     31,051,792    366,791       X        28-5284    358784              8007
                                                             4,581,183     54,114       X      X 28-5284     50861       435    2818
                                                             1,285,108     15,180       X        28-4580     15180
                                                                83,811        990       X      X 28-4580       990

ISHARES TR                     MSCI EAFE IDX  464287465    235,148,808  5,241,837       X        28-5284   5110222            131615
                                                           130,016,078  2,898,263       X      X 28-5284   2632345     20563  245355
                                                             3,593,600     80,107       X        28-11135    80107
                                                             2,731,660     60,893       X        28-4580     60893
                                                             2,529,341     56,383       X      X 28-4580     49683      6700

ISHARES TR                     RUSSELL MCP VL 464287473     16,653,554    585,568       X        28-5284    567171             18397
                                                             4,355,159    153,135       X      X 28-5284    144769      2126    6240
                                                                 7,679        270       X        28-11135      270
                                                               609,583     21,434       X        28-4580     21434
                                                               117,599      4,135       X      X 28-4580      4135

ISHARES TR                     RUSSELL MCP GR 464287481     15,098,043    482,674       X        28-5284    464334             18340
                                                             4,582,989    146,515       X      X 28-5284    129149      7305   10061
                                                               775,650     24,797       X        28-4580     24797
                                                               139,696      4,466       X      X 28-4580      4466

ISHARES TR                     RUSSELL MIDCAP 464287499     27,721,307    464,188       X        28-5284    449272             14916
                                                            10,034,572    168,027       X      X 28-5284    164839       845    2343
                                                                 8,958        150       X        28-11135      150
                                                               219,292      3,672       X        28-4580      3672
                                                                44,790        750       X      X 28-4580       750
               COLUMN TOTAL                                532,331,703







                                                                                                                    FILE NO. 28-1235
PAGE 112 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MIDCAP 400 464287507     30,177,954    565,872       X        28-5284    529332             36540
                                                            15,501,804    290,677       X      X 28-5284    275170      4104   11403
                                                                   960         18       X        28-11135       18
                                                                45,917        861       X        28-4580       861
                                                             1,045,375     19,602       X      X 28-4580     19602

ISHARES TR                     S&P NA SOFTWR  464287515         68,941      2,170       X        28-5284      2170
                                                                33,517      1,055       X      X 28-5284      1055

ISHARES TR                     S&P NA SEMICND 464287523         30,810      1,086       X        28-5284      1086
                                                                 4,284        151       X        28-4580       151

ISHARES TR                     S&P NA TECH FD 464287549        140,784      4,200       X      X 28-5284      4200

ISHARES TR                     NASDQ BIO INDX 464287556      3,049,679     42,923       X        28-5284     42923
                                                             1,512,228     21,284       X      X 28-5284     21284
                                                                36,164        509       X        28-4580       509
                                                                17,905        252       X      X 28-4580       252

ISHARES TR                     COHEN&ST RLTY  464287564     12,943,459    292,971       X        28-5284    291591              1380
                                                             4,839,786    109,547       X      X 28-5284    106391       140    3016
                                                                 6,627        150       X        28-11135      150
                                                                 2,916         66       X        28-4580        66

ISHARES TR                     S&P GLB100INDX 464287572         24,920        497       X      X 28-5284       497

ISHARES TR                     RUSSELL1000VAL 464287598     65,398,093  1,320,640       X        28-5284   1281188             39452
                                                            11,193,352    226,037       X      X 28-5284    224316              1721
                                                             3,010,024     60,784       X        28-11135    60784
                                                               113,500      2,292       X        28-4580      2292
                                                               136,725      2,761       X      X 28-4580      2761

ISHARES TR                     S&P MC 400 GRW 464287606      6,696,419    120,765       X        28-5284    120397               368
                                                             1,984,389     35,787       X      X 28-5284     31881       752    3154
                                                                68,758      1,240       X        28-4580      1240
                                                                64,655      1,166       X      X 28-4580      1166

ISHARES TR                     RUSSELL1000GRW 464287614     64,591,503  1,742,890       X        28-5284   1570138            172752
                                                            15,454,354    417,009       X      X 28-5284    293505            123504
                                                             1,029,897     27,790       X        28-11135    27790
                                                                75,528      2,038       X        28-4580      2038
                                                               237,518      6,409       X      X 28-4580      5510               899
               COLUMN TOTAL                                239,538,745







                                                                                                                    FILE NO. 28-1235
PAGE 113 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 1000   464287622    131,702,109  2,694,948       X        28-5284   2684210             10738
                                                            61,115,893  1,250,581       X      X 28-5284   1213019       353   37209
                                                             1,193,259     24,417       X        28-4580     24417
                                                             1,439,906     29,464       X      X 28-4580     29464

ISHARES TR                     RUSL 2000 VALU 464287630     12,642,295    257,114       X        28-5284    252145              4969
                                                             6,755,024    137,381       X      X 28-5284    136914               467
                                                               689,953     14,032       X        28-11135    14032
                                                               307,608      6,256       X        28-4580      6256
                                                               315,426      6,415       X      X 28-4580      6415

ISHARES TR                     RUSL 2000 GROW 464287648     12,095,423    237,818       X        28-5284    232162              5656
                                                             3,430,354     67,447       X      X 28-5284     63217      1942    2288
                                                               606,200     11,919       X        28-11135    11919
                                                               225,513      4,434       X        28-4580      4434
                                                                13,325        262       X      X 28-4580       262

ISHARES TR                     RUSSELL 2000   464287655     52,772,822  1,071,747       X        28-5284   1059165             12582
                                                            23,004,977    467,201       X      X 28-5284    442291      2495   22415
                                                             1,424,218     28,924       X        28-11135    28924
                                                               623,477     12,662       X        28-4580     12662
                                                               283,278      5,753       X      X 28-4580      5753

ISHARES TR                     RUSL 3000 VALU 464287663      2,007,279     31,058       X        28-5284     31058
                                                                26,304        407       X      X 28-5284       407
                                                               723,856     11,200       X        28-4580     11200
                                                               284,372      4,400       X      X 28-4580      4400

ISHARES TR                     RUSL 3000 GROW 464287671        257,108      8,556       X        28-5284      8556
                                                                90,300      3,005       X      X 28-5284      3005

ISHARES TR                     RUSSELL 3000   464287689     12,807,028    246,289       X        28-5284    246109               180
                                                             2,329,964     44,807       X      X 28-5284     44607               200
                                                                39,728        764       X        28-4580       764

ISHARES TR                     DJ US UTILS    464287697        310,827      4,482       X        28-5284      4482
                                                               455,005      6,561       X      X 28-5284      6461       100
                                                                13,870        200       X        28-4580       200
                                                                 3,537         51       X      X 28-4580        51
               COLUMN TOTAL                                329,990,238







                                                                                                                    FILE NO. 28-1235
PAGE 114 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MIDCP VALU 464287705     15,379,395    305,875       X        28-5284    305485               390
                                                             1,880,723     37,405       X      X 28-5284     35216       168    2021
                                                                86,632      1,723       X        28-4580      1723
                                                               140,784      2,800       X      X 28-4580      2800

ISHARES TR                     DJ US TELECOMM 464287713        506,200     30,716       X        28-5284     30380               336
                                                               153,676      9,325       X      X 28-5284      9050       275
                                                                21,424      1,300       X        28-4580      1300
                                                                 4,450        270       X      X 28-4580       270

ISHARES TR                     DJ US TECH SEC 464287721      2,828,061     80,047       X        28-5284     78948              1099
                                                             2,981,181     84,381       X      X 28-5284     83599       507     275

ISHARES TR                     DJ US REAL EST 464287739      2,411,648     64,777       X        28-5284     64142               635
                                                             2,074,977     55,734       X      X 28-5284     51158      1088    3488

ISHARES TR                     DJ US INDUSTRL 464287754        305,726      7,100       X        28-5284      7100
                                                                26,568        617       X      X 28-5284       617

ISHARES TR                     DJ US HEALTHCR 464287762      3,506,548     65,311       X        28-5284     65251                60
                                                             2,340,293     43,589       X      X 28-5284     41789              1800
                                                                60,455      1,126       X        28-4580      1126

ISHARES TR                     DJ US FINL SVC 464287770        708,576     15,105       X        28-5284     13875              1230
                                                               410,369      8,748       X      X 28-5284      7248       200    1300

ISHARES TR                     DJ US FINL SEC 464287788        952,784     21,056       X        28-5284     20483               573
                                                             1,022,379     22,594       X      X 28-5284     21669               925
                                                                 4,751        105       X        28-4580       105
                                                               141,768      3,133       X      X 28-4580      3133

ISHARES TR                     DJ US ENERGY   464287796        427,216     15,080       X        28-5284     15080
                                                               336,929     11,893       X      X 28-5284     11593               300
                                                                42,495      1,500       X      X 28-4580      1500

ISHARES TR                     S&P SMLCAP 600 464287804     11,551,710    262,718       X        28-5284    245705             17013
                                                            18,022,072    409,872       X      X 28-5284    400162      1555    8155
                                                                    44          1       X        28-11135        1
                                                               297,457      6,765       X        28-4580      6765
                                                               852,314     19,384       X      X 28-4580     19384
               COLUMN TOTAL                                 69,479,605







                                                                                                                    FILE NO. 28-1235
PAGE 115 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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                     CONS GOODS IDX 464287812        194,376      4,200       X        28-5284      4200
                                                                46,280      1,000       X      X 28-5284      1000
                                                                   602         13       X        28-11135       13

ISHARES TR                     DJ US BAS MATL 464287838        302,654      8,160       X        28-5284      8160
                                                                73,104      1,971       X      X 28-5284      1891        80

ISHARES TR                     DJ US INDEX FD 464287846      1,039,510     23,577       X        28-5284     23577
                                                            11,330,292    256,981       X      X 28-5284    256981

ISHARES TR                     S&P EURO PLUS  464287861      3,034,282     97,440       X        28-5284     95438              2002
                                                               951,732     30,563       X      X 28-5284     30563
                                                             1,303,707     41,866       X        28-4580     40866              1000
                                                             2,115,029     67,920       X      X 28-4580     67920

ISHARES TR                     S&P SMLCP VALU 464287879      4,727,225     97,228       X        28-5284     66580             30648
                                                             1,370,014     28,178       X      X 28-5284     26438        75    1665
                                                                90,044      1,852       X        28-4580      1852
                                                                 2,285         47       X      X 28-4580        47

ISHARES TR                     S&P SMLCP GROW 464287887      5,952,013    133,573       X        28-5284    129164              4409
                                                             2,717,402     60,983       X      X 28-5284     59790        88    1105
                                                                54,363      1,220       X        28-4580      1220
                                                                31,816        714       X      X 28-4580       714

ISHARES TR                     MSCI ACJPN IDX 464288182         25,986        775       X        28-5284       775

ISHARES TR                     S&P GLBIDX ETF 464288224          1,177         55       X        28-5284        55

ISHARES TR                     S&P NUCIDX ETF 464288232          2,635         85       X        28-5284        85

ISHARES TR                     MSCI ACWI EX   464288240         14,684        478       X        28-5284       478
                                                                61,440      2,000       X      X 28-5284      2000

ISHARES TR                     MSCI SMALL CAP 464288273         55,019      2,140       X        28-5284      2140
                                                                41,136      1,600       X      X 28-5284      1600
                                                                26,276      1,022       X        28-11135     1022

ISHARES TR                     JPMORGAN USD   464288281          2,813         30       X      X 28-5284        30

ISHARES TR                     MID GRWTH INDX 464288307        239,230      4,485       X        28-5284      4485
                                                                11,255        211       X      X 28-5284       211
               COLUMN TOTAL                                 35,818,381







                                                                                                                    FILE NO. 28-1235
PAGE 116 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 GLO INFRAS 464288372          1,795         60       X        28-5284        60
                                                                14,955        500       X      X 28-5284                         500

ISHARES TR                     MID VAL INDEX  464288406        436,134      8,888       X        28-5284      8888

ISHARES TR                     S&P NATL MUN B 464288414     30,646,077    307,877       X        28-5284    295950             11927
                                                             7,938,614     79,753       X      X 28-5284     74090              5663
                                                             1,673,466     16,812       X        28-4580     16812
                                                             1,026,058     10,308       X      X 28-4580     10308

ISHARES TR                     SMLL CORE INDX 464288505         14,943        293       X        28-5284       293
                                                                19,176        376       X      X 28-5284       376

ISHARES TR                     HIGH YLD CORP  464288513        511,091      6,724       X        28-5284      3189              3535
                                                               112,647      1,482       X      X 28-5284      1482
                                                               423,680      5,574       X        28-11135     5574

ISHARES TR                     BARCLYS INTER  464288612      3,473,853     32,545       X        28-5284     32545
                                                               682,602      6,395       X      X 28-5284      6395

ISHARES TR                     BARCLYS 1-3YR  464288646         88,134        874       X      X 28-5284       874

ISHARES TR                     BARCLYS 3-7 YR 464288661         74,883        648       X        28-5284       648

ISHARES TR                     US PFD STK IDX 464288687        229,591      7,860       X        28-5284      3950              3910
                                                               359,283     12,300       X      X 28-5284     12300

ISHARES TR                     S&G GL MATERIA 464288695         14,674        375       X      X 28-5284       375
                                                                 2,426         62       X        28-11135       62

ISHARES TR                     SMLL VAL INDX  464288703         38,628        788       X        28-5284       788

ISHARES TR                     DJ HOME CONSTN 464288752          1,962        200       X        28-5284       200

ISHARES TR                     DJ AEROSPACE   464288760          2,270         55       X      X 28-5284        55

ISHARES TR                     DJ REGIONAL BK 464288778         93,088      3,890       X        28-5284      3890

ISHARES TR                     DJ BROKER-DEAL 464288794         62,580      3,140       X        28-5284      3140

ISHARES TR                     KLD SL SOC INX 464288802      6,031,338    157,394       X        28-5284    151846              5548
                                                             1,389,905     36,271       X      X 28-5284     26650              9621
               COLUMN TOTAL                                 55,363,853







                                                                                                                    FILE NO. 28-1235
PAGE 117 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MED DEVICES 464288810          1,531         40       X        28-5284        40

ISHARES TR                     DJ PHARMA INDX 464288836        141,488      3,140       X        28-5284      3140

ISHARES TR                     DJ OIL EQUIP   464288844          9,547        360       X        28-5284       360
                                                                 2,519         95       X      X 28-5284        95

ISHARES TR                     DJ OIL&GAS EXP 464288851         70,332      1,828       X        28-5284      1828

ISHARES TR                     MSCI VAL IDX   464288877      6,076,174    149,844       X        28-5284    144849              4995
                                                             2,594,186     63,975       X      X 28-5284     59550      4425
                                                               411,501     10,148       X        28-4580     10148
                                                                 8,678        214       X      X 28-4580       214

ISHARES TR                     MSCI GRW IDX   464288885      5,727,200    126,011       X        28-5284    125330               681
                                                             4,862,923    106,995       X      X 28-5284    101944              5051
                                                               235,931      5,191       X        28-4580      5191
                                                                 3,545         78       X      X 28-4580        78

ISIS PHARMACEUTICALS INC       COM            464330109         62,392      4,400       X        28-5284      4400
                                                                35,450      2,500       X      X 28-5284      1500              1000

ITERIS INC                     COM            46564T107        782,711    504,975       X      X 28-5284              504975

ITC HLDGS CORP                 COM            465685105         27,300        625       X      X 28-5284       625
                                                                11,269        258       X        28-11135      258

ITRON INC                      COM            465741106         34,420        540       X        28-5284       250               290
                                                               248,204      3,894       X        28-11135     3894

J & J SNACK FOODS CORP         COM            466032109          4,306        120       X        28-5284                         120

JA SOLAR HOLDINGS CO LTD       SPON ADR       466090107          6,118      1,400       X      X 28-5284      1400

J CREW GROUP INC               COM            46612H402            293         24       X        28-5284        24
                                                                42,700      3,500       X      X 28-5284      3500

JDS UNIPHASE CORP              COM PAR $0.001 46612J507          1,011        277       X        28-5284       277
                                                                   672        184       X      X 28-5284       184

JER INVT TR INC                COM            46614H301            372        400       X        28-5284       400
               COLUMN TOTAL                                 21,402,773







                                                                                                                    FILE NO. 28-1235
PAGE 118 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JPMORGAN & CHASE & CO          COM            46625H100     79,927,793  2,534,976       X        28-5284   2417285      1128  116563
                                                            67,146,856  2,129,618       X      X 28-5284   1914353     20014  195251
                                                               506,151     16,053       X        28-11135    16053
                                                             1,365,091     43,295       X        28-4580     42527               768
                                                               646,113     20,492       X      X 28-4580     19443      1049

J2 GLOBAL COMMUNICATIONS INC   COM NEW        46626E205         40,701      2,031       X        28-11135     2031

JABIL CIRCUIT INC              COM            466313103      1,462,462    216,661       X        28-5284    194041             22620
                                                               105,820     15,677       X      X 28-5284      9278              6399

JACK IN THE BOX INC            COM            466367109         10,603        480       X        28-5284                         480

JACOBS ENGR GROUP INC DEL      COM            469814107      2,331,551     48,473       X        28-5284     45148              3325
                                                             1,795,765     37,334       X      X 28-5284     25859             11475
                                                               214,911      4,468       X        28-11135     4468
                                                                44,829        932       X      X 28-4580       932

JAKKS PAC INC                  COM            47012E106          4,745        230       X        28-5284                         230
                                                                 1,630         79       X        28-11135       79

JAMES RIVER COAL CO            COM NEW        470355207          3,066        200       X        28-5284       200

JANUS CAP GROUP INC            COM            47102X105         13,298      1,656       X        28-5284       136              1520
                                                                 2,811        350       X      X 28-5284                         350

JARDEN CORP                    COM            471109108        311,650     27,100       X      X 28-5284     27000               100
                                                                26,347      2,291       X        28-11135     2291
                                                                23,000      2,000       X        28-4580                        2000

JEFFERIES GROUP INC NEW        COM            472319102          1,758        125       X        28-11135      125

JOHN BEAN TECHNOLOGIES CORP    COM            477839104          1,479        181       X        28-5284       181
                                                                 6,046        740       X        28-11135      740

JOHNSON & JOHNSON              COM            478160104    248,751,960  4,157,646       X        28-5284   3992623            165023
                                                           231,464,680  3,868,706       X      X 28-5284   3519300     31903  317503
                                                               789,397     13,194       X        28-11135    13194
                                                             4,920,778     82,246       X        28-4580     81556               690
                                                             6,686,661    111,761       X      X 28-4580    109861              1900
               COLUMN TOTAL                                648,607,952







                                                                                                                    FILE NO. 28-1235
PAGE 119 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JOHNSON CTLS INC               COM            478366107      8,553,887    471,029       X        28-5284    455725             15304
                                                             5,285,395    291,046       X      X 28-5284    263596      1235   26215
                                                               105,564      5,813       X        28-11135     5813
                                                                16,344        900       X        28-4580       900
                                                                46,471      2,559       X      X 28-4580      2559

JONES APPAREL GROUP INC        COM            480074103         11,837      2,020       X        28-5284                        2020
                                                                 5,274        900       X      X 28-5284       900

JONES LANG LASALLE INC         COM            48020Q107         33,240      1,200       X        28-5284                        1200

JONES SODA CO                  COM            48023P106            320      1,000       X        28-5284      1000

JOS A BANK CLOTHIERS INC       COM            480838101         68,644      2,625       X        28-5284       625              2000
                                                                43,644      1,669       X      X 28-5284      1669

JOY GLOBAL INC                 COM            481165108         95,680      4,180       X        28-5284      3916               264
                                                                41,202      1,800       X      X 28-5284      1800
                                                                 2,060         90       X        28-11135       90

JUNIPER NETWORKS INC           COM            48203R104        132,271      7,554       X        28-5284      5854              1700
                                                                57,695      3,295       X      X 28-5284      3295
                                                                17,247        985       X        28-11135      985

KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105          2,358         90       X        28-5284        90
                                                                   105          4       X      X 28-5284         4

KBR INC                        COM            48242W106         90,972      5,985       X        28-5284      5985
                                                               490,018     32,238       X      X 28-5284     27876              4362

KBW INC                        COM            482423100         46,000      2,000       X        28-5284      2000
                                                                 4,600        200       X      X 28-5284       200

KHD HUMBOLDT WEDAG INTL LTD    COM            482462108          2,234        200       X        28-5284       200
                                                               212,230     19,000       X      X 28-5284               19000
                                                                25,680      2,299       X        28-11135     2299

KKR FINANCIAL HLDGS LLC        COM            48248A306            943        597       X        28-5284       597

KLA-TENCOR CORP                COM            482480100          2,179        100       X        28-5284       100
                                                                43,907      2,015       X      X 28-5284                        2015
                                                               266,579     12,234       X        28-11135    12234
               COLUMN TOTAL                                 15,704,580







                                                                                                                    FILE NO. 28-1235
PAGE 120 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KMG CHEMICALS INC              COM            482564101         49,700     10,000       X        28-4580     10000

KT CORP                        SPONSORED ADR  48268K101          4,694        320       X        28-5284       320
                                                                   367         25       X      X 28-5284        25

K SEA TRANSN PARTNERS LP       COM            48268Y101          6,450        500       X        28-5284       500

K-SWISS INC                    CL A           482686102          2,508        220       X        28-5284                         220

K12 INC                        COM            48273U102          7,219        385       X        28-11135      385

K TRON INTL INC                COM            482730108         11,905        149       X        28-5284       149
                                                               457,507      5,726       X      X 28-5284      2436              3290

K V PHARMACEUTICAL CO          CL A           482740206            864        300       X        28-5284       300
                                                                   193         67       X        28-11135       67

KAMAN CORP                     COM            483548103          3,807        210       X        28-5284                         210

KANSAS CITY SOUTHERN           COM NEW        485170302          5,944        312       X        28-5284       312
                                                               208,121     10,925       X      X 28-5284      1225              9700
                                                                 5,829        306       X        28-11135      306

KAYDON CORP                    COM            486587108          8,588        250       X      X 28-5284       250
                                                               315,299      9,179       X        28-11135     9179

KAYNE ANDERSON ENRGY TTL RT    COM            48660P104          9,200        800       X        28-5284       800
                                                                13,800      1,200       X      X 28-5284      1200

KAYNE ANDERSON ENERGY DEV CO   COM            48660Q102          9,012      1,200       X      X 28-5284      1200

KAYNE ANDERSON MLP INVSMNT C   COM            486606106        386,620     23,719       X      X 28-5284     23719

KB HOME                        COM            48666K109        102,940      7,558       X        28-5284       734              6824
                                                                   790         58       X      X 28-5284        58

KEITHLEY INSTRS INC            COM            487584104            292         80       X        28-5284                          80

KELLOGG CO                     COM            487836108      2,682,743     61,180       X        28-5284     58746              2434
                                                             2,156,148     49,171       X      X 28-5284     45549       125    3497
                                                                73,449      1,675       X        28-4580      1675
                                                                52,620      1,200       X      X 28-4580                        1200
               COLUMN TOTAL                                  6,576,609







                                                                                                                    FILE NO. 28-1235
PAGE 121 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KENNAMETAL INC                 COM            489170100         27,649      1,246       X        28-5284      1066               180
                                                               482,189     21,730       X      X 28-5284     21730

KENSEY NASH CORP               COM            490057106             19          1       X        28-11135        1

KEY ENERGY SVCS INC            COM            492914106         18,765      4,255       X        28-11135     4255

KEYCORP NEW                    COM            493267108        192,194     22,558       X        28-5284     16234              6324
                                                                12,090      1,419       X      X 28-5284      1419

KEYCORP NEW                    PFD 7.75% SR A 493267405          3,577         50       X      X 28-5284                          50

KEYNOTE SYS INC                COM            493308100         27,756      3,600       X      X 28-5284                3600

KILROY RLTY CORP               COM            49427F108         11,443        342       X        28-5284        52               290
                                                                13,049        390       X      X 28-5284       390
                                                                 1,271         38       X        28-11135       38

KIMBERLY CLARK CORP            COM            494368103     20,008,396    379,378       X        28-5284    363465             15913
                                                            26,387,035    500,323       X      X 28-5284    486926      4400    8997
                                                               448,079      8,496       X        28-11135     8496
                                                                60,967      1,156       X        28-4580      1156
                                                               382,154      7,246       X      X 28-4580      7246

KIMCO REALTY CORP              COM            49446R109        757,889     41,460       X        28-5284     41460
                                                             1,432,969     78,390       X      X 28-5284     70990              7400
                                                                 9,378        513       X        28-11135      513
                                                                68,550      3,750       X      X 28-4580      3750

KINDER MORGAN MANAGEMENT LLC   SHS            49455U100         26,587        665       X        28-5284       665
                                                                26,147        654       X      X 28-5284       654
                                                                   160          4       X        28-11135        4

KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106      2,753,281     60,181       X        28-5284     60181
                                                             6,432,679    140,605       X      X 28-5284    132610      2200    5795
                                                                73,200      1,600       X      X 28-4580      1600

KINETIC CONCEPTS INC           COM NEW        49460W208      1,744,632     90,961       X        28-5284     81876              9085
                                                               102,728      5,356       X      X 28-5284      5031               325

KING PHARMACEUTICALS INC       COM            495582108          1,551        146       X        28-5284       146
                                                               212,400     20,000       X      X 28-5284     20000
               COLUMN TOTAL                                 61,718,784







                                                                                                                    FILE NO. 28-1235
PAGE 122 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KINROSS GOLD CORP              COM NO PAR     496902404         86,574      4,700       X        28-5284      4700
                                                                29,472      1,600       X      X 28-5284      1600

KIRBY CORP                     COM            497266106         12,312        450       X        28-5284                         450

KNIGHT CAPITAL GROUP INC       CL A           499005106          2,358        146       X        28-5284       146

KNIGHT TRANSN INC              COM            499064103         47,876      2,970       X        28-5284      2970

KNOLOGY INC                    COM            499183804        674,784    130,772       X        28-5284         5            130767

KNOT INC                       COM            499184109            832        100       X        28-5284       100
                                                                29,536      3,550       X      X 28-5284      3550

KOHLS CORP                     COM            500255104      3,579,492     98,881       X        28-5284     90791              8090
                                                             1,226,746     33,888       X      X 28-5284     30393              3495
                                                               458,799     12,674       X        28-11135    12674

KONGZHONG CORP                 SPONSORED ADR  50047P104          6,700      2,000       X        28-4580      2000

KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303        119,975      6,038       X        28-5284      6038
                                                                84,209      4,238       X      X 28-5284       858              3380
                                                                 1,768         89       X        28-11135       89

KOPPERS HOLDINGS INC           COM            50060P106          4,324        200       X        28-5284       200
                                                               346,417     16,023       X      X 28-5284     16023

KOPIN CORP                     COM            500600101            836        410       X        28-5284                         410

KOREA ELECTRIC PWR             SPONSORED ADR  500631106          2,485        214       X        28-5284       214
                                                                46,440      4,000       X      X 28-5284      4000
                                                                   801         69       X        28-11135       69

KORN FERRY INTL                COM NEW        500643200         13,704      1,200       X        28-5284      1200
                                                                47,393      4,150       X      X 28-5284      4150

KRAFT FOODS INC                CL A           50075N104     19,057,002    709,758       X        28-5284    687085             22673
                                                            75,315,324  2,805,040       X      X 28-5284   2755221      4586   45233
                                                               482,924     17,986       X        28-11135    17986
                                                               704,034     26,221       X        28-4580     24768              1453
                                                               569,381     21,206       X      X 28-4580     21206

KRATOS DEFENSE & SECURITY SO   COM            50077B108            305        218       X      X 28-5284       218
               COLUMN TOTAL                                102,952,803







                                                                                                                    FILE NO. 28-1235
PAGE 123 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KRISPY KREME DOUGHNUTS INC     COM            501014104            168        100       X      X 28-5284       100

KROGER CO                      COM            501044101        874,673     33,119       X        28-5284     31599              1520
                                                               875,703     33,158       X      X 28-5284     33158
                                                               289,480     10,961       X        28-11135    10961
                                                                13,205        500       X        28-4580       500

KUBOTA CORP                    ADR            501173207         32,463        900       X        28-5284       900
                                                                   541         15       X      X 28-5284        15

KULICKE & SOFFA INDS INC       COM            501242101          1,547        910       X        28-5284       500               410

KYOCERA CORP                   ADR            501556203         19,395        268       X        28-5284       268
                                                                 3,546         49       X        28-11135       49

LCA-VISION INC                 COM PAR $.001  501803308         24,660      6,000       X      X 28-5284                6000

LDK SOLAR CO LTD               SPONSORED ADR  50183L107          1,312        100       X        28-5284       100
                                                                44,608      3,400       X      X 28-5284       400              3000
                                                                   236         18       X        28-4580        18

LHC GROUP INC                  COM            50187A107        878,400     24,400       X      X 28-5284     24400

LKQ CORP                       COM            501889208         32,648      2,800       X      X 28-5284      2800

LL & E RTY TR                  UNIT BEN INT   502003106          1,060      2,000       X      X 28-5284      2000

LMI AEROSPACE INC              COM            502079106          5,685        500       X        28-5284       500

L-1 IDENTITY SOLUTIONS INC     COM            50212A106            425         63       X      X 28-5284        63

LSB CORP                       COM            50215P100        124,270     17,000       X      X 28-5284     17000

LSI CORPORATION                COM            502161102         29,492      8,964       X        28-5284      8964
                                                                13,660      4,152       X      X 28-5284      4127                25
                                                                    20          6       X        28-11135        6

LTC PPTYS INC                  COM            502175102         45,306      2,234       X        28-11135     2234

LTX-CREDENCE CORP              COM            502403108            307      1,136       X        28-5284      1136
               COLUMN TOTAL                                  3,312,810







                                                                                                                    FILE NO. 28-1235
PAGE 124 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
L-3 COMMUNICATIONS HLDGS INC   COM            502424104      2,136,964     28,964       X        28-5284     20589              8375
                                                             1,110,610     15,053       X      X 28-5284      7453              7600
                                                               340,273      4,612       X        28-11135     4612

LA Z BOY INC                   COM            505336107            781        360       X        28-5284                         360

LABORATORY CORP AMER HLDGS     COM NEW        50540R409         98,418      1,528       X        28-5284      1528
                                                               778,524     12,087       X      X 28-5284      8787              3300
                                                               537,051      8,338       X        28-11135     8338
                                                                64,861      1,007       X      X 28-4580      1007

LACLEDE GROUP INC              COM            505597104         74,007      1,580       X        28-5284      1400               180
                                                                18,736        400       X      X 28-5284       400

LADENBURG THALMAN FIN SVCS I   COM            50575Q102          3,600      5,000       X        28-5284      5000

LADISH INC                     COM NEW        505754200          6,925        500       X        28-5284       500

LAKELAND BANCORP INC           COM            511637100        200,586     17,814       X        28-5284     17814

LAKELAND FINL CORP             COM            511656100        174,648      7,332       X        28-11135     7332

LAM RESEARCH CORP              COM            512807108        226,164     10,628       X        28-5284     10628
                                                               140,022      6,580       X      X 28-5284      6580
                                                                56,328      2,647       X        28-4580      2647

LAMAR ADVERTISING CO           CL A           512815101          1,294        103       X        28-5284       103
                                                               131,880     10,500       X      X 28-5284     10500

LANCE INC                      COM            514606102          5,735        250       X        28-5284                         250
                                                                   986         43       X      X 28-5284        43

LANDAUER INC                   COM            51476K103         62,305        850       X        28-5284       850
                                                                42,148        575       X      X 28-5284       575

LANDSTAR SYS INC               COM            515098101         19,138        498       X        28-5284        58               440
                                                                   192          5       X      X 28-5284         5
                                                                12,912        336       X      X 28-4580       336

LAS VEGAS SANDS CORP           COM            517834107        258,085     43,522       X        28-5284     37764              5758
                                                                 9,790      1,651       X      X 28-5284      1626                25
               COLUMN TOTAL                                  6,512,963







                                                                                                                    FILE NO. 28-1235
PAGE 125 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LASALLE HOTEL PPTYS            COM SH BEN INT 517942108        113,207     10,245       X        28-5284     10245
                                                                 6,520        590       X      X 28-5284       590

LATIN AMER EQUITY FD INC NEW   COM            51827Q106          1,372         75       X        28-5284        75

LAUDER ESTEE COS INC           CL A           518439104        150,992      4,877       X        28-5284      4697               180
                                                                 1,517         49       X      X 28-5284        49
                                                                 1,703         55       X        28-4580        55

LAWSON PRODS INC               COM            520776105          1,143         50       X        28-5284                          50

LAYNE CHRISTENSEN CO           COM            521050104         12,005        500       X      X 28-5284       500
                                                               155,993      6,497       X        28-11135     6497

LEADIS TECHNOLOGY INC          COM            52171N103         17,776     53,866       X      X 28-5284               53866

LEAPFROG ENTERPRISES INC       CL A           52186N106            347         99       X        28-11135       99

LEAP WIRELESS INTL INC         COM NEW        521863308            807         30       X        28-5284        30

LEAR CORP                      COM            521865105            785        557       X        28-5284       557

LEGGETT & PLATT INC            COM            524660107         30,988      2,040       X        28-5284                        2040
                                                               695,322     45,775       X      X 28-5284     45775

LEGACY RESERVES LP             UNIT LP INT    524707304          6,983        750       X      X 28-5284       750

LEGG MASON INC                 COM            524901105      1,200,186     54,778       X        28-5284     37053             17725
                                                               921,557     42,061       X      X 28-5284     30409       425   11227

LENDER PROCESSING SVCS INC     COM            52602E102         35,163      1,194       X        28-5284      1194
                                                             1,321,981     44,889       X      X 28-5284     44889

LENNAR CORP                    CL A           526057104         82,851      9,556       X        28-5284      2879              6677
                                                                 4,821        556       X      X 28-5284       556

LENNAR CORP                    CL B           526057302          1,296        200       X        28-5284       200

LENNOX INTL INC                COM            526107107         12,593        390       X        28-5284                         390
                                                                   161          5       X      X 28-5284         5
                                                                 8,460        262       X        28-11135      262
               COLUMN TOTAL                                  4,786,529







                                                                                                                    FILE NO. 28-1235
PAGE 126 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        159,509      8,056       X        28-5284      8056
                                                             3,426,984    173,080       X      X 28-5284    147180     22000    3900
                                                                34,650      1,750       X        28-4580                        1750

LEVEL 3 COMMUNICATIONS INC     COM            52729N100          2,379      3,398       X        28-5284      3398
                                                                42,000     60,000       X      X 28-5284     60000

LEXINGTON REALTY TRUST         COM            529043101          7,695      1,539       X        28-5284      1539
                                                               184,295     36,859       X      X 28-5284     36859

LEXMARK INTL NEW               CL A           529771107          1,668         62       X        28-5284        62
                                                                 7,747        288       X      X 28-5284       288

LIBBEY INC                     COM            529898108            138        110       X        28-5284                         110

LIBERTY ALL-STAR GROWTH FD I   COM            529900102          6,796      2,614       X        28-5284      2614

LIBERTY GLOBAL INC             COM SER A      530555101        226,096     14,202       X        28-5284      4586              9616
                                                               804,262     50,519       X      X 28-5284     41503              9016

LIBERTY GLOBAL INC             COM SER C      530555309        421,822     27,788       X        28-5284      6219             21569
                                                               889,290     58,583       X      X 28-5284     39753             18830

LIBERTY MEDIA CORP NEW         INT COM SER A  53071M104        140,765     45,117       X        28-5284     10217             34900
                                                                77,788     24,932       X      X 28-5284      6082             18850

LIBERTY MEDIA CORP NEW         CAP COM SER A  53071M302         65,639     13,936       X        28-5284      2336             11600
                                                               577,427    122,596       X      X 28-5284    118826              3770
                                                                18,840      4,000       X        28-4580                        4000

LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500      1,031,705     59,022       X        28-5284     12622             46400
                                                             1,302,889     74,536       X      X 28-5284     59456             15080

LIBERTY MEDIA CORP             DEB   3.250% 3 530715AR2        315,000     10,000       X        28-5284     10000

LIBERTY PPTY TR                SH BEN INT     531172104         30,044      1,316       X        28-5284      1316
                                                                49,290      2,159       X      X 28-5284      2159

LIFE PARTNERS HOLDINGS INC     COM            53215T106        528,044     12,100       X      X 28-5284     12100

LIFE SCIENCES RESH INC         COM            532169109             84          9       X        28-11135        9
               COLUMN TOTAL                                 10,352,846







                                                                                                                    FILE NO. 28-1235
PAGE 127 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 TIME FITNESS INC          COM            53217R207          3,885        300       X        28-5284       300
                                                                24,605      1,900       X      X 28-5284      1900

LIFE TECHNOLOGIES CORP         COM            53217V109      1,456,805     62,497       X        28-5284     60778              1719
                                                               419,487     17,996       X      X 28-5284     17448               548
                                                               120,256      5,159       X        28-11135     5159
                                                                12,914        554       X        28-4580       554

LIFEPOINT HOSPITALS INC        COM            53219L109         29,441      1,289       X        28-5284      1258                31
                                                                 4,659        204       X      X 28-5284       204

LIGAND PHARMACEUTICALS INC     CL B           53220K207            200         73       X        28-11135       73

LIHIR GOLD LTD                 SPONSORED ADR  532349107          4,518        206       X        28-5284       206

LILLY ELI & CO                 COM            532457108     17,908,029    444,699       X        28-5284    418495       977   25227
                                                            17,436,024    432,978       X      X 28-5284    389846             43132
                                                                 6,765        168       X        28-11135      168
                                                                85,735      2,129       X        28-4580      2129
                                                               467,333     11,605       X      X 28-4580     11605

LIMITED BRANDS INC             COM            532716107         32,771      3,264       X        28-5284       764              2500
                                                                 1,325        132       X      X 28-5284                         132
                                                               327,274     32,597       X        28-11135    32597

LINCARE HLDGS INC              COM            532791100          4,255        158       X        28-5284       158
                                                                24,237        900       X      X 28-5284       900
                                                                10,180        378       X        28-11135      378

LINCOLN EDL SVCS CORP          COM            533535100         13,250      1,000       X        28-5284      1000

LINCOLN ELEC HLDGS INC         COM            533900106          5,093        100       X        28-5284       100

LINCOLN NATL CORP IND          COM            534187109      1,337,960     71,017       X        28-5284     57917             13100
                                                             2,115,393    112,282       X      X 28-5284    100017       678   11587
                                                                 7,479        397       X        28-11135      397
                                                                 3,749        199       X        28-4580       199

LINDSAY CORP                   COM            535555106          6,358        200       X        28-5284       100               100

LINEAR TECHNOLOGY CORP         COM            535678106      2,091,380     94,547       X        28-5284     92961              1586
                                                               286,631     12,958       X      X 28-5284     12158               800
                                                                 2,809        127       X        28-4580       127
               COLUMN TOTAL                                 44,250,800







                                                                                                                    FILE NO. 28-1235
PAGE 128 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LIONS GATE ENTMNT CORP         COM NEW        535919203         22,000      4,000       X      X 28-5284      4000

LINN ENERGY LLC                UNIT LTD LIAB  536020100         20,060      1,340       X        28-5284      1340
                                                                41,916      2,800       X      X 28-5284       800              2000

LITTELFUSE INC                 COM            537008104          3,320        200       X      X 28-5284       200

LIVE NATION INC                COM            538034109            471         82       X      X 28-5284        82

LIVEWIRE MOBILE INC            COM            53837P102        212,843  2,240,451       X      X 28-5284             2240451

LIZ CLAIBORNE INC              COM            539320101         18,182      6,993       X        28-5284      6993
                                                                25,831      9,935       X      X 28-5284      9685       250

LLOYDS TSB GROUP PLC           SPONSORED ADR  539439109          9,125      1,185       X        28-5284      1185
                                                                37,730      4,900       X      X 28-5284      4900

LOCKHEED MARTIN CORP           COM            539830109     26,736,431    317,988       X        28-5284    300767             17221
                                                            15,329,802    182,324       X      X 28-5284    169412      2060   10852
                                                               500,444      5,952       X        28-11135     5952
                                                               399,380      4,750       X        28-4580      4680                70
                                                               173,793      2,067       X      X 28-4580      2067

LODGIAN INC                    COM PAR $.01   54021P403             21         10       X        28-5284        10

LOEWS CORP                     COM            540424108         83,931      2,971       X        28-5284      1811              1160
                                                               166,280      5,886       X      X 28-5284      1286              4600
                                                                51,528      1,824       X      X 28-4580      1824

LOGICVISION INC                COM NEW        54140W305         26,255     34,500       X      X 28-5284               34500

LOOPNET INC                    COM            543524300         17,466      2,561       X      X 28-5284      2561

LORAL SPACE & COMMUNICATNS I   COM            543881106            334         23       X        28-5284        23

LORILLARD INC                  COM            544147101         30,993        550       X        28-5284       550
                                                                    56          1       X      X 28-5284         1

LOUISIANA PAC CORP             COM            546347105          5,834      3,740       X        28-5284      1300              2440
                                                                 6,727      4,312       X      X 28-5284      4312
                                                                   167        107       X        28-4580       107
               COLUMN TOTAL                                 43,920,920







                                                                                                                    FILE NO. 28-1235
PAGE 129 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LOWES COS INC                  COM            548661107     13,006,968    604,413       X        28-5284    580784             23629
                                                             8,349,050    387,967       X      X 28-5284    368574      1700   17693
                                                                58,836      2,734       X        28-11135     2734
                                                               161,400      7,500       X        28-4580      6600               900
                                                                77,085      3,582       X      X 28-4580      3582

LUBRIZOL CORP                  COM            549271104        432,750     11,892       X        28-5284      9180              2712
                                                               510,806     14,037       X      X 28-5284      9967              4070
                                                                91,848      2,524       X        28-11135     2524

LUCENT TECHNOLOGIES INC        DBCV  2.750% 6 549463AG2      2,446,166      3,000       X        28-11439     3000

LUFKIN INDS INC                COM            549764108         17,250        500       X      X 28-5284                         500

LUMINEX CORP DEL               COM            55027E102         19,224        900       X        28-5284       900
                                                               425,491     19,920       X        28-11135    19920

LUNDIN MINING CORP             COM            550372106            274        285       X        28-5284       285

LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202          6,994        386       X        28-5284       386

LYDALL INC DEL                 COM            550819106            748        130       X        28-5284                         130

M & T BK CORP                  COM            55261F104      1,847,396     32,179       X        28-5284     31731               448
                                                             3,037,104     52,902       X      X 28-5284     50402              2500
                                                                22,964        400       X        28-4580       400

MBIA INC                       COM            55262C100         21,547      5,294       X        28-5284      5294
                                                                34,676      8,520       X      X 28-5284      8520

MB FINANCIAL INC NEW           COM            55264U108            419         15       X      X 28-5284                          15

M D C HLDGS INC                COM            552676108        131,320      4,334       X        28-5284      3200              1134
                                                                 9,060        299       X      X 28-5284       299

MDU RES GROUP INC              COM            552690109        108,375      5,022       X        28-5284      5022
                                                               273,052     12,653       X      X 28-5284     12653

MEMC ELECTR MATLS INC          COM            552715104         23,305      1,632       X        28-5284       742               890
                                                                79,968      5,600       X      X 28-5284      3400              2200
                                                               232,378     16,273       X        28-11135    16273
               COLUMN TOTAL                                 31,426,454







                                                                                                                    FILE NO. 28-1235
PAGE 130 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 CHARTER INCOME TR          SH BEN INT     552727109        122,211     16,650       X        28-5284     16650
                                                               113,770     15,500       X      X 28-5284      1700             13800

MFS INTER INCOME TR            SH BEN INT     55273C107         16,250      2,600       X      X 28-5284                        2600

MFS MULTIMARKET INCOME TR      SH BEN INT     552737108        164,983     34,300       X      X 28-5284      1000             33300

MFS MUN INCOME TR              SH BEN INT     552738106         24,240      6,000       X        28-5284      6000
                                                                 8,080      2,000       X      X 28-5284                        2000

MGE ENERGY INC                 COM            55277P104         27,093        821       X        28-5284       821
                                                                26,400        800       X      X 28-5284       800

MGIC INVT CORP WIS             COM            552848103            546        157       X        28-5284       157
                                                                24,012      6,900       X      X 28-5284      6900

MGM MIRAGE                     COM            552953101         45,642      3,317       X        28-5284      3317
                                                                41,280      3,000       X      X 28-5284      3000

MI DEVS INC                    CL A SUB VTG   55304X104          1,865        250       X      X 28-5284       250

MKS INSTRUMENT INC             COM            55306N104         61,379      4,150       X      X 28-5284      4150

MLP & STRATEGIC EQUITY FD IN   COM            55312N106        205,414     22,159       X      X 28-5284     22159

MPS GROUP INC                  COM            553409103            858        114       X        28-5284       114

MTS SYS CORP                   COM            553777103        130,536      4,900       X        28-5284      4900
                                                               364,036     13,665       X      X 28-5284       425             13240

MVC CAPITAL INC                COM            553829102          5,485        500       X        28-5284       500

MACERICH CO                    COM            554382101        314,604     17,324       X        28-5284     17324
                                                               311,262     17,140       X      X 28-5284     17140

MACK CALI RLTY CORP            COM            554489104        208,054      8,492       X        28-5284      8492
                                                               434,263     17,725       X      X 28-5284     16725              1000

MACKINAC FINL CORP             COM            554571109        110,000     25,000       X      X 28-5284     25000

MACQUARIE FT TR GB INF UT DI   COM            55607W100         11,510      1,199       X        28-5284      1199
               COLUMN TOTAL                                  2,773,773







                                                                                                                    FILE NO. 28-1235
PAGE 131 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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         15,909      4,220       X        28-5284      4220
                                                                26,567      7,047       X      X 28-5284      7047

MACQUARIE GLBL INFRA TOTL RE   COM            55608D101          4,904        407       X        28-5284       407
                                                                 9,676        803       X      X 28-5284       803

MACROVISION SOLUTIONS CORP     COM            55611C108          1,189         94       X        28-5284        94

MACYS INC                      COM            55616P104        693,450     67,000       X        28-5284     63842              3158
                                                               763,478     73,766       X      X 28-5284     68086              5680
                                                                 4,037        390       X        28-4580       160-              550
                                                                 2,070        200       X      X 28-4580       200

MADDEN STEVEN LTD              COM            556269108         27,652      1,297       X        28-5284      1297
                                                                 1,364         64       X        28-11135       64

MAG SILVER CORP                COM            55903Q104        337,500     75,000       X        28-5284     75000
                                                             1,023,750    227,500       X      X 28-5284    227500

MAGELLAN MIDSTREAM HLDGS LP    COM LP INTS    55907R108        131,072      9,450       X      X 28-5284      7750              1700

MAGELLAN MIDSTREAM PRTNRS LP   COM UNIT RP LP 559080106        178,239      5,900       X        28-5284      5900
                                                               347,052     11,488       X      X 28-5284      7488      3400     600

MAGELLAN PETE CORP             COM            559091301        337,247    518,842       X      X 28-5284              518842

MAGMA DESIGN AUTOMATION        COM            559181102            151        148       X        28-5284       148

MAGNETEK INC                   COM            559424106            528        220       X        28-5284                         220
                                                             1,030,586    429,411       X      X 28-5284              429411

MAGUIRE PPTYS INC              COM            559775101          1,080        740       X        28-5284       740
                                                                 1,460      1,000       X      X 28-5284      1000

MAGYAR TELEKOM TELECOMMUNS P   SPONSORED ADR  559776109          1,415        100       X      X 28-5284       100

MAINSOURCE FINANCIAL GP INC    COM            56062Y102         24,800      1,600       X        28-5284      1600
                                                                60,714      3,917       X        28-1500      3917

MALAYSIA FD INC                COM            560905101         35,350      7,000       X        28-5284      7000

MANAGEMENT NETWORK GROUP INC   COM            561693102        251,720    629,300       X      X 28-5284              629300
               COLUMN TOTAL                                  5,312,960







                                                                                                                    FILE NO. 28-1235
PAGE 132 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MANHATTAN ASSOCS INC           COM            562750109          3,320        210       X        28-5284                         210
                                                                34,782      2,200       X      X 28-5284      2200
                                                                35,905      2,271       X        28-11135     2271

MANITOWOC INC                  COM            563571108         48,591      5,611       X        28-5284      5247               364
                                                                24,378      2,815       X      X 28-5284      2815
                                                                   831         96       X        28-11135       96

MANNATECH INC                  COM            563771104            424        173       X        28-5284       173

MANPOWER INC                   COM            56418H100         86,369      2,541       X        28-5284       351              2190
                                                                 4,521        133       X      X 28-5284       133

MANTECH INTL CORP              CL A           564563104         58,959      1,088       X        28-11135     1088

MANULIFE FINL CORP             COM            56501R106      1,773,709    104,152       X        28-5284    103848               304
                                                             1,027,130     60,313       X      X 28-5284     60313
                                                                   426         25       X        28-11135       25

MARATHON OIL CORP              COM            565849106      4,040,716    147,687       X        28-5284    140403              7284
                                                             2,122,671     77,583       X      X 28-5284     68673      5600    3310
                                                               903,072     33,007       X        28-11135    33007
                                                                62,271      2,276       X        28-4580      2276
                                                                 6,840        250       X      X 28-4580       250

MARINE PETE TR                 UNIT BEN INT   568423107         10,245        500       X        28-5284       500

MARINER ENERGY INC             COM            56845T305         40,800      4,000       X        28-5284      4000
                                                               359,040     35,200       X      X 28-5284     35200
                                                                74,287      7,283       X        28-11135     7283

MARKEL CORP                    COM            570535104         13,156         44       X        28-5284        44
                                                               357,006      1,194       X      X 28-5284       644               550

MARKETAXESS HLDGS INC          COM            57060D108         28,560      3,500       X      X 28-5284      3500

MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100         22,022        650       X        28-5284       650
                                                               102,758      3,033       X      X 28-5284      3033
                                                               531,916     15,700       X        28-4580      9900              5800
                                                             1,151,920     34,000       X      X 28-4580     34000

MARKET VECTORS ETF TR          MV ENVIR SVCS  57060U209          3,378         96       X      X 28-5284        96
               COLUMN TOTAL                                 12,930,003







                                                                                                                    FILE NO. 28-1235
PAGE 133 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MARKET VECTORS ETF TR          MV STEEL INDEX 57060U308         18,356        625       X      X 28-5284       625

MARKET VECTORS ETF TR          GBL ALTER ENRG 57060U407        262,711     11,251       X        28-5284     11251
                                                               209,146      8,957       X      X 28-5284      8957

MARKET VECTORS ETF TR          RUSSIA ETF     57060U506         35,877      2,745       X        28-5284      2745

MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605         30,496      1,095       X        28-5284      1095
                                                                 2,785        100       X      X 28-5284       100
                                                                 2,785        100       X      X 28-4580       100

MARKET VECTORS ETF TR          NUC ENERGY ETF 57060U704         98,350      5,000       X        28-5284      5000
                                                                64,341      3,271       X      X 28-5284      3271

MARKET VECTORS ETF TR          SOLAR ENRG ETF 57060U811            425         30       X        28-5284        30

MARKWEST ENERGY PARTNERS L P   UNIT LTD PARTN 570759100          1,596        200       X      X 28-5284       200

MARLIN BUSINESS SVCS CORP      COM            571157106            783        300       X      X 28-5284       300

MARSH & MCLENNAN COS INC       COM            571748102      1,054,532     43,450       X        28-5284     42030              1420
                                                               789,964     32,549       X      X 28-5284     31499              1050
                                                                38,104      1,570       X        28-4580      1570
                                                               131,155      5,404       X      X 28-4580      5404

MARSHALL & ILSLEY CORP NEW     COM            571837103         76,384      5,600       X        28-5284      5600
                                                               325,846     23,889       X      X 28-5284       569             23320
                                                                 2,783        204       X        28-11135      204

MARRIOTT INTL INC NEW          CL A           571903202      4,406,709    226,566       X        28-5284    213436             13130
                                                             5,963,992    306,632       X      X 28-5284    306082       450     100
                                                                 1,167         60       X        28-11135       60
                                                               253,900     13,054       X        28-4580     13054
                                                                91,804      4,720       X      X 28-4580      4720

MARTEK BIOSCIENCES CORP        COM            572901106         21,672        715       X        28-5284       715
                                                                 4,547        150       X      X 28-5284       150

MARTHA STEWART LIVING OMNIME   CL A           573083102          1,300        500       X        28-4580       500

MARTIN MARIETTA MATLS INC      COM            573284106        114,554      1,180       X        28-5284      1180
                                                               120,962      1,246       X      X 28-5284      1246
               COLUMN TOTAL                                 14,127,026







                                                                                                                    FILE NO. 28-1235
PAGE 134 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MIDSTREAM PRTNRS L P    UNIT L P INT   573331105          4,410        300       X        28-5284       300

MARVEL ENTERTAINMENT INC       COM            57383T103          4,613        150       X      X 28-5284       150

MASCO CORP                     COM            574599106        950,702     85,418       X        28-5284     75883              9535
                                                               618,939     55,610       X      X 28-5284     48855      2800    3955
                                                                   234         21       X        28-11135       21

MASSEY ENERGY CORP             COM            576206106          3,227        234       X        28-5284       234
                                                                18,906      1,371       X      X 28-5284      1296                75
                                                                49,217      3,569       X        28-11135     3569
                                                               904,624     65,600       X        28-11439    65600

MASSMUTUAL CORPORATE INVS IN   COM            576292106          8,624        448       X        28-5284       448

MASSMUTUAL PARTN INVS          SH BEN INT     576299101          7,240        800       X        28-5284       800

MASTECH HOLDINGS INC           COM            57633B100            157         66       X      X 28-5284        66

MASTERCARD INC                 CL A           57636Q104     22,075,824    154,452       X        28-5284    144966              9486
                                                             7,501,252     52,482       X      X 28-5284     46580      1014    4888
                                                               129,638        907       X        28-11135      907
                                                               563,430      3,942       X        28-4580      3818               124
                                                               291,577      2,040       X      X 28-4580      2040

MATRIXX INITIATIVES INC        COM            57685L105        443,037     26,867       X        28-5284     26867

MATRIX SVC CO                  COM            576853105        121,301     15,815       X        28-11135    15815

MATTEL INC                     COM            577081102        840,384     52,524       X        28-5284     49678              2846
                                                               428,384     26,774       X      X 28-5284     19368      5950    1456
                                                               506,176     31,636       X        28-11135    31636
                                                                16,000      1,000       X      X 28-4580      1000

MATTHEWS INTL CORP             CL A           577128101        299,822      8,174       X        28-5284      8174
                                                                80,696      2,200       X      X 28-5284      2200

MAXIM INTEGRATED PRODS INC     COM            57772K101      3,647,776    319,420       X        28-5284    290815             28605
                                                               573,056     50,180       X      X 28-5284     30785       900   18495
                                                                12,254      1,073       X        28-11135     1073
                                                                 4,568        400       X        28-4580                         400

MAXIMUS INC                    COM            577933104          5,969        170       X        28-5284                         170
               COLUMN TOTAL                                 40,112,037







                                                                                                                    FILE NO. 28-1235
PAGE 135 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MCAFEE INC                     COM            579064106        223,184      6,456       X        28-5284      6456
                                                               150,794      4,362       X        28-11135     4362

MCCLATCHY CO                   CL A           579489105            531        664       X      X 28-5284       664

MCCORMICK & CO INC             COM VTG        579780107        254,922      8,024       X      X 28-5284      5024              3000

MCCORMICK & CO INC             COM NON VTG    579780206      7,112,968    223,257       X        28-5284    211327             11930
                                                            10,129,760    317,946       X      X 28-5284    250609             67337
                                                                 1,466         46       X        28-11135       46
                                                                65,632      2,060       X        28-4580      2060
                                                                60,279      1,892       X      X 28-4580      1892

MCDERMOTT INTL INC             COM            580037109          9,238        935       X        28-5284       935
                                                                58,786      5,950       X      X 28-5284      5950
                                                               345,770     34,997       X        28-11135    34997
                                                                   346         35       X        28-4580        35

MCDONALDS CORP                 COM            580135101    112,126,082  1,802,960       X        28-5284   1731636             71324
                                                            73,127,231  1,175,868       X      X 28-5284   1128296      8724   38848
                                                               640,681     10,302       X        28-11135    10302
                                                             1,396,912     22,462       X        28-4580     22109               353
                                                               845,971     13,603       X      X 28-4580     13603

MCGRATH RENTCORP               COM            580589109          2,884        135       X        28-11135      135

MCGRAW HILL COS INC            COM            580645109     11,035,982    475,894       X        28-5284    471194              4700
                                                            10,812,685    466,265       X      X 28-5284    450305       575   15385
                                                               349,102     15,054       X        28-4580     15054
                                                                63,680      2,746       X      X 28-4580      2746

MCKESSON CORP                  COM            58155Q103     13,776,571    355,708       X        28-5284    333721             21987
                                                             3,046,037     78,648       X      X 28-5284     72756      2144    3748
                                                               108,328      2,797       X        28-11135     2797
                                                               130,520      3,370       X        28-4580      3280                90
                                                                35,128        907       X      X 28-4580       907

MCMORAN EXPLORATION CO         COM            582411104          1,441        147       X        28-5284       147
                                                                   941         96       X      X 28-5284        96

MEADWESTVACO CORP              COM            583334107        568,866     50,837       X        28-5284     13177             37660
                                                               150,942     13,489       X      X 28-5284      7198              6291
                                                                 3,928        351       X        28-11135      351
               COLUMN TOTAL                                246,637,588







                                                                                                                    FILE NO. 28-1235
PAGE 136 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MECHEL OAO                     SPONSORED ADR  583840103          2,252        563       X        28-5284       563

MEDAREX INC                    COM            583916101        345,960     62,000       X        28-5284     62000
                                                                44,640      8,000       X      X 28-5284      8000
                                                               111,170     19,923       X        28-11135    19923

MEDCO HEALTH SOLUTIONS INC     COM            58405U102     30,928,909    737,984       X        28-5284    692170             45814
                                                            31,063,692    741,200       X      X 28-5284    684504      9217   47479
                                                                 1,886         45       X        28-11135       45
                                                               491,688     11,732       X        28-4580     11572               160
                                                               219,608      5,240       X      X 28-4580      5240

MEDIA GEN INC                  CL A           584404107          1,750      1,000       X        28-5284      1000

MEDICAL NUTRITION USA INC      COM            58461X107        746,665    597,332       X        28-5284    597332

MEDICAL PPTYS TRUST INC        COM            58463J304        123,165     19,519       X        28-5284     19519
                                                               184,801     29,287       X      X 28-5284     29287

MEDICINOVA INC                 COM NEW        58468P206         48,536     30,526       X      X 28-5284               30526

MEDICINES CO                   COM            584688105          1,061         72       X        28-5284        72
                                                               104,554      7,098       X        28-11135     7098

MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309            695         50       X        28-5284        50
                                                                40,310      2,900       X      X 28-5284      2900

MEDTRONIC INC                  COM            585055106     14,361,831    457,092       X        28-5284    435492             21600
                                                            13,013,284    414,172       X      X 28-5284    350888      1400   61884
                                                                 3,928        125       X        28-11135      125
                                                               109,656      3,490       X        28-4580      3490
                                                               395,012     12,572       X      X 28-4580     12572

MELCO CROWN ENTMT LTD          ADR            585464100          2,061        650       X      X 28-5284       650

MEMORY PHARMACEUTICALS CORP    COM            58606R403          2,723      4,500       X      X 28-5284      4500

MENS WEARHOUSE INC             COM            587118100         33,038      2,440       X        28-5284      2000               440
                                                                 4,563        337       X      X 28-5284       337

MENTOR CORP MINN               COM            587188103         14,444        467       X        28-5284       187               280
                                                               122,174      3,950       X      X 28-5284      3850               100
                                                               178,342      5,766       X        28-11135     5766
               COLUMN TOTAL                                 92,702,398







                                                                                                                    FILE NO. 28-1235
PAGE 137 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MERCADOLIBRE INC               COM            58733R102         11,487        700       X        28-5284       700

MERCHANTS BANCSHARES           COM            588448100         18,790      1,000       X      X 28-5284      1000

MERCK & CO INC                 COM            589331107     63,273,131  2,081,353       X        28-5284   2036896             44457
                                                           129,169,813  4,249,007       X      X 28-5284   4021278     14619  213110
                                                               812,896     26,740       X        28-11135    26740
                                                             1,287,774     42,361       X        28-4580     40954              1407
                                                             1,976,122     65,004       X      X 28-4580     62878      2126

MERCURY COMPUTER SYS           COM            589378108          1,136        180       X        28-5284                         180

MEREDITH CORP                  COM            589433101          1,558         91       X        28-5284        91

MERIDIAN BIOSCIENCE INC        COM            589584101          6,113        240       X        28-5284       240
                                                               187,281      7,353       X      X 28-5284      7353
                                                                16,173        635       X        28-11135      635

MERIT MED SYS INC              COM            589889104        192,873     10,757       X        28-11135    10757

MERRILL LYNCH & CO INC         COM            590188108      1,850,399    158,969       X        28-5284    120356             38613
                                                               773,164     66,423       X      X 28-5284     57468       750    8205
                                                               238,434     20,484       X        28-11135    20484
                                                                10,476        900       X        28-4580       900
                                                                 4,190        360       X      X 28-4580       360

MESA AIR GROUP INC             COM            590479101             42        163       X        28-11135      163

METALICO INC                   COM            591176102            388        250       X        28-5284       250

METAVANTE TECHNOLOGIES INC     COM            591407101         49,264      3,058       X        28-5284      3058
                                                               193,900     12,036       X      X 28-5284      4189              7847

METHANEX CORP                  COM            59151K108          1,124        100       X        28-5284       100
                                                                 2,248        200       X      X 28-5284       200
                                                                 2,855        254       X        28-11135      254

METHODE ELECTRS INC            COM            591520200          1,955        290       X        28-5284                         290
                                                                   553         82       X        28-11135       82
               COLUMN TOTAL                                200,084,139







                                                                                                                    FILE NO. 28-1235
PAGE 138 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
METLIFE INC                    COM            59156R108      5,042,848    144,660       X        28-5284    132136             12524
                                                             2,057,751     59,029       X      X 28-5284     56321      1010    1698
                                                               288,327      8,271       X        28-11135     8271
                                                               202,850      5,819       X        28-4580      5468               351
                                                                57,728      1,656       X      X 28-4580      1656

METROPCS COMMUNICATIONS INC    COM            591708102         10,573        712       X        28-5284       712
                                                                   104          7       X      X 28-5284         7

METTLER TOLEDO INTERNATIONAL   COM            592688105          2,224         33       X        28-5284        33
                                                                47,247        701       X      X 28-5284       701
                                                                15,637        232       X        28-11135      232

MEXICO EQUITY & INCOME FD      COM            592834105          3,205        512       X        28-5284       512

MEXICO FD INC                  COM            592835102          3,724        245       X      X 28-5284                 245

MFS INTERMARKET INCOME TRUST   SH BEN INT     59318R103          3,370        500       X        28-5284       500
                                                                79,532     11,800       X      X 28-5284                       11800

MICROS SYS INC                 COM            594901100         37,046      2,270       X        28-5284      1600               670
                                                               267,012     16,361       X        28-11135    16361

MICROSOFT CORP                 COM            594918104    114,450,492  5,887,371       X        28-5284   5483616            403755
                                                            74,147,562  3,814,175       X      X 28-5284   3410413     39911  363851
                                                             1,115,526     57,383       X        28-11135    57383
                                                             2,199,033    113,119       X        28-4580    111873              1246
                                                             1,904,129     97,949       X      X 28-4580     97789               160

MICROSTRATEGY INC              CL A NEW       594972408            594         16       X        28-5284        10                 6

MICROCHIP TECHNOLOGY INC       COM            595017104        750,968     38,452       X        28-5284     31757              6695
                                                               409,818     20,984       X      X 28-5284     11934              9050
                                                                10,917        559       X        28-11135      559
                                                                   723         37       X        28-4580        37

MICRON TECHNOLOGY INC          COM            595112103          3,469      1,314       X        28-5284      1314
                                                                 6,547      2,480       X      X 28-5284      2480

MICROSEMI CORP                 COM            595137100         14,789      1,170       X        28-5284       500               670

MID-AMER APT CMNTYS INC        COM            59522J103        122,814      3,305       X        28-5284      3305
                                                                40,876      1,100       X      X 28-5284      1100
               COLUMN TOTAL                                203,297,435







                                                                                                                    FILE NO. 28-1235
PAGE 139 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MID PENN BANCORP INC           COM            59540G107         23,544      1,123       X      X 28-5284                        1123

MIDAS GROUP INC                COM            595626102          1,259        120       X        28-5284                         120
                                                                 2,528        241       X      X 28-5284       241

MIDCAP SPDR TR                 UNIT SER 1     595635103    120,878,796  1,244,121       X        28-5284   1152814             91307
                                                            42,614,765    438,604       X      X 28-5284    384914      1253   52437
                                                             1,744,702     17,957       X        28-4580     17657               300

MIDDLEBY CORP                  COM            596278101         19,089        700       X      X 28-5284       700

MIDDLESEX WATER CO             COM            596680108         24,622      1,429       X        28-5284      1429
                                                            12,997,158    754,333       X      X 28-5284      4333            750000

MILLENNIUM INDIA ACQS COM IN   *W EXP 07/19/2 60039Q119             40      1,000       X      X 28-5284      1000

MILLER HERMAN INC              COM            600544100         52,003      3,991       X        28-5284      3991

MILLIPORE CORP                 COM            601073109        673,469     13,072       X        28-5284      9212              3860
                                                               663,681     12,882       X      X 28-5284      8482              4400

MINDRAY MEDICAL INTL LTD       SPON ADR       602675100        252,900     14,050       X        28-5284     12995              1055
                                                                20,700      1,150       X      X 28-5284      1150

MINE SAFETY APPLIANCES CO      COM            602720104      2,930,505    122,564       X        28-5284    122564
                                                            58,898,340  2,463,335       X      X 28-5284     53238     25335 2384762

MINERALS TECHNOLOGIES INC      COM            603158106          1,309         32       X        28-5284        32
                                                                 6,135        150       X      X 28-5284       150

MIRANT CORP NEW                COM            60467R100          2,623        139       X        28-5284       139
                                                               189,115     10,022       X      X 28-5284     10022
                                                                   170          9       X        28-4580         9

MIRANT CORP NEW                *W EXP 01/03/2 60467R118            105         30       X        28-5284        30
                                                                   116         33       X      X 28-5284        33
                                                                    98         28       X        28-4580        28

MITSUBISHI UFJ FINL GROUP IN   SPONSORED ADR  606822104         73,253     11,796       X        28-5284     11796
                                                                 8,551      1,377       X      X 28-5284      1377
                                                               107,321     17,282       X        28-11135    17282
               COLUMN TOTAL                                242,186,897







                                                                                                                    FILE NO. 28-1235
PAGE 140 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MITSUI & CO LTD                ADR            606827202          1,435          7       X        28-5284         7
                                                                 1,025          5       X        28-11135        5

MIZUHO FINL GROUP INC          SPONSORED ADR  60687Y109          3,895        675       X        28-5284       675
                                                                 1,529        265       X      X 28-5284       265

MOBILE MINI INC                COM            60740F105          4,182        290       X        28-5284                         290
                                                                 1,889        131       X        28-11135      131

MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109         13,340        500       X      X 28-5284                         500

MODUSLINK GLOBAL SOLUTIONS I   COM            60786L107        327,480    113,315       X      X 28-5284              113315

MOHAWK INDS INC                COM            608190104          6,875        160       X        28-5284       160
                                                                86,284      2,008       X      X 28-5284      2008
                                                                 1,977         46       X        28-11135       46

MOLECULAR INSIGHT PHARM INC    COM            60852M104         12,900      3,000       X        28-5284      3000

MOLINA HEALTHCARE INC          COM            60855R100            634         36       X        28-11135       36

MOLEX INC                      COM            608554101         29,154      2,012       X        28-5284       312              1700
                                                                21,735      1,500       X      X 28-5284      1500

MOLEX INC                      CL A           608554200          8,107        626       X        28-5284       626
                                                               224,398     17,328       X      X 28-5284     14328              3000

MOLSON COORS BREWING CO        CL B           60871R209      3,308,802     67,637       X        28-5284     65217              2420
                                                             1,343,245     27,458       X      X 28-5284     26923               535
                                                                93,388      1,909       X        28-11135     1909
                                                                 8,561        175       X        28-4580       175
                                                                 2,446         50       X      X 28-4580        50

MONACO COACH CORP              COM            60886R103             92        180       X        28-5284                         180

MONEYGRAM INTL INC             COM            60935Y109          3,180      3,118       X        28-5284      3118

MONOTYPE IMAGING HOLDINGS IN   COM            61022P100          2,999        517       X        28-11135      517
               COLUMN TOTAL                                  5,509,552







                                                                                                                    FILE NO. 28-1235
PAGE 141 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MONSANTO CO NEW                COM            61166W101     20,555,074    292,183       X        28-5284    263841             28342
                                                            11,658,894    165,727       X      X 28-5284    150428      1952   13347
                                                               580,810      8,256       X        28-11135     8256
                                                               758,725     10,785       X        28-4580     10579               206
                                                               251,712      3,578       X      X 28-4580      3578

MONSTER WORLDWIDE INC          COM            611742107          3,494        289       X        28-5284       289
                                                                    97          8       X      X 28-5284         8
                                                                96,188      7,956       X        28-11135     7956

MONTGOMERY STR INCOME SECS I   COM            614115103        219,738     15,900       X      X 28-5284                       15900

MOODYS CORP                    COM            615369105      2,653,648    132,088       X        28-5284    127998              4090
                                                             2,241,120    111,554       X      X 28-5284    105897       200    5457
                                                                   241         12       X        28-11135       12
                                                                 2,009        100       X        28-4580       100
                                                                57,056      2,840       X      X 28-4580      2840

MOOG INC                       CL A           615394202         80,454      2,200       X      X 28-5284                        2200
                                                                 2,816         77       X        28-11135       77

MORGAN STANLEY EASTN EUR FD    COM            616988101            725         87       X        28-5284        87

MORGAN STANLEY EMER MKTS DEB   COM            61744H105         37,825      5,350       X      X 28-5284      5350

MORGAN STANLEY HIGH YIELD FD   COM            61744M104         14,668      3,900       X      X 28-5284      3600               300

MORGAN STANLEY ASIA PAC FD I   COM            61744U106         28,767      2,686       X      X 28-5284      2686

MORGAN STANLEY                 COM NEW        617446448      4,286,145    267,216       X        28-5284    254976             12240
                                                             4,212,024    262,595       X      X 28-5284    248108       750   13737
                                                                65,539      4,086       X        28-11135     4086
                                                                40,645      2,534       X        28-4580      2534
                                                                25,856      1,612       X      X 28-4580      1612

MORGAN STANLEY INDIA INVS FD   COM            61745C105          1,250        100       X        28-5284       100
                                                                 3,750        300       X      X 28-5284       300

MORGAN STANLEY                 MUN PREM INCOM 61745P429         23,120      4,000       X      X 28-5284                        4000

MORGAN STANLEY                 CA INSD MUN TR 61745P502         40,546      4,318       X        28-5284      2225              2093

MORGAN STANLEY                 QULTY MUN SECS 61745P585         52,855      5,500       X      X 28-5284      5500
               COLUMN TOTAL                                 47,995,791







                                                                                                                    FILE NO. 28-1235
PAGE 142 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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                 QLT MUN INV TR 61745P668         13,860      1,500       X      X 28-5284      1500
                                                                23,451      2,538       X        28-4580      2538

MORGAN STANLEY                 QUALT MUN INCM 61745P734        103,950     11,000       X      X 28-5284     11000

MORGAN STANLEY                 INSD MUN INCM  61745P791        359,790     33,500       X        28-5284     33500

MORGAN STANLEY                 INSD MUN TR    61745P866         13,182      1,300       X        28-5284      1300

MORGAN STANLEY                 INCOME SEC INC 61745P874          7,137        496       X        28-5284       496
                                                                63,316      4,400       X      X 28-5284                        4400

MORGAN STANLEY CHINA A SH FD   COM            617468103          8,303        406       X      X 28-5284       406

MORGAN STANLEY EMERG MKT DOM   COM            617477104         13,637      1,300       X        28-5284      1300
                                                                31,470      3,000       X      X 28-5284      3000

MORNINGSTAR INC                COM            617700109         74,550      2,100       X      X 28-5284      1900               200

MOSAIC CO                      COM            61945A107         21,002        607       X        28-5284       607
                                                               236,733      6,842       X      X 28-5284      6742               100

MOTOROLA INC                   COM            620076109      3,018,496    681,376       X        28-5284    643108             38268
                                                             2,290,740    517,097       X      X 28-5284    497488      7200   12409
                                                               352,243     79,513       X        28-11135    79513
                                                                10,269      2,318       X        28-4580      2318

MUELLER INDS INC               COM            624756102         15,550        620       X        28-5284       300               320

MULTI COLOR CORP               COM            625383104          1,582        100       X        28-5284                         100

MURPHY OIL CORP                COM            626717102      1,680,643     37,895       X        28-5284     36095              1800
                                                             1,750,095     39,461       X      X 28-5284     37261       900    1300

MYERS INDS INC                 COM            628464109          4,864        608       X        28-5284       400               208
                                                                 6,648        831       X      X 28-5284       831

MYLAN INC                      COM            628530107        109,097     11,031       X        28-5284      6761              4270
                                                                58,015      5,866       X      X 28-5284      3168              2698
                                                                12,916      1,306       X      X 28-4580      1306

MYRIAD GENETICS INC            COM            62855J104         62,881        949       X        28-5284       949
               COLUMN TOTAL                                 10,344,420







                                                                                                                    FILE NO. 28-1235
PAGE 143 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NBT BANCORP INC                COM            628778102        378,858     13,550       X        28-5284     13550
                                                               273,421      9,779       X      X 28-5284      9779

NBTY INC                       COM            628782104      1,188,164     75,921       X        28-5284     75921
                                                                   626         40       X        28-11135       40

NCI BUILDING SYS INC           COM            628852105        161,289      9,895       X        28-11135     9895

NCR CORP NEW                   COM            62886E108         19,032      1,346       X        28-5284      1096               250
                                                               451,292     31,916       X      X 28-5284      1720             30196
                                                                 4,553        322       X        28-11135      322

NGP CAP RES CO                 COM            62912R107            293         35       X        28-11135       35

NGAS RESOURCES INC             COM            62912T103            820        500       X        28-5284       500

NII HLDGS INC                  CL B NEW       62913F201             73          4       X        28-5284         4
                                                                81,810      4,500       X      X 28-5284                        4500
                                                                   382         21       X        28-11135       21

NL INDS INC                    COM NEW        629156407          6,700        500       X        28-5284       500

NRG ENERGY INC                 COM NEW        629377508          3,523        151       X        28-5284       151
                                                                 2,333        100       X      X 28-5284       100

NTT DOCOMO INC                 SPONS ADR      62942M201         51,228      2,611       X        28-5284      2611
                                                                35,512      1,810       X      X 28-5284      1810
                                                               100,906      5,143       X        28-11135     5143
                                                                 6,377        325       X        28-4580       325

NVR INC                        COM            62944T105         45,625        100       X        28-5284       100

NYSE EURONEXT                  COM            629491101        107,987      3,944       X        28-5284      2904              1040
                                                                71,462      2,610       X      X 28-5284      2600                10
                                                                34,088      1,245       X        28-11135     1245
                                                               759,001     27,721       X                    27721


NACCO INDS INC                 CL A           629579103        429,991     11,494       X      X 28-5284     11494

NALCO HOLDING COMPANY          COM            62985Q101         79,211      6,864       X        28-5284      6864
                                                               246,033     21,320       X      X 28-5284     21320

NAM TAI ELECTRS INC            COM PAR $0.02  629865205         50,600      9,200       X      X 28-5284      2200      7000
               COLUMN TOTAL                                  4,591,190







                                                                                                                    FILE NO. 28-1235
PAGE 144 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NANOGEN INC                    COM            630075109            105        750       X        28-5284       750

NANOPHASE TCHNOLOGIES CORP     COM            630079101             21         20       X        28-5284        20

NARA BANCORP INC               COM            63080P105         78,640      8,000       X      X 28-5284      8000

NASDAQ OMX GROUP INC           COM            631103108        241,343      9,767       X        28-5284      9017               750
                                                                76,601      3,100       X      X 28-5284      3100
                                                               536,009     21,692       X        28-11135    21692

NASH FINCH CO                  COM            631158102          4,938        110       X        28-5284                         110

NASHUA CORP                    COM            631226107         32,010      6,000       X        28-5284                        6000

NATIONAL BK GREECE S A         SPONSORED ADR  633643408          6,039      1,585       X        28-5284      1585

NATIONAL BK GREECE S A         ADR PRF SER A  633643507         11,610        600       X        28-5284       600

NATIONAL CINEMEDIA INC         COM            635309107            761         75       X        28-5284        75

NATIONAL CITY CORP             COM            635405103        282,014    155,809       X        28-5284    152259              3550
                                                               231,908    128,126       X      X 28-5284     80670     14988   32468
                                                                   281        155       X        28-11135      155
                                                                28,135     15,544       X        28-4580     15544
                                                                12,878      7,115       X      X 28-4580      7115

NATIONAL FINL PARTNERS CORP    COM            63607P208          9,120      3,000       X        28-5284      3000

NATIONAL FUEL GAS CO N J       COM            636180101        372,232     11,881       X        28-5284     10359              1522
                                                               191,113      6,100       X      X 28-5284      6100

NATIONAL GRID PLC              SPON ADR NEW   636274300         29,469        584       X        28-5284       584
                                                                   807         16       X      X 28-5284        16
                                                                16,652        330       X        28-4580       330

NATIONAL HEALTH INVS INC       COM            63633D104          8,229        300       X        28-5284       300
                                                                16,458        600       X      X 28-5284       600

NATIONAL INSTRS CORP           COM            636518102        378,286     15,529       X        28-5284      6170              9359
                                                               376,362     15,450       X      X 28-5284      2050             13400
                                                                 9,159        376       X        28-11135      376
               COLUMN TOTAL                                  2,951,180







                                                                                                                    FILE NO. 28-1235
PAGE 145 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 OILWELL VARCO INC     COM            637071101      2,303,788     94,263       X        28-5284     84149             10114
                                                               969,437     39,666       X      X 28-5284     34666              5000
                                                                29,035      1,188       X        28-11135     1188
                                                                24,904      1,019       X        28-4580      1019
                                                                48,880      2,000       X      X 28-4580      2000

NATIONAL PENN BANCSHARES INC   COM            637138108        138,991      9,579       X        28-5284      9579
                                                               125,337      8,638       X      X 28-5284      4295              4343

NATIONAL PRESTO INDS INC       COM            637215104          3,080         40       X        28-5284                          40
                                                                 5,775         75       X      X 28-5284        75

NATIONAL RETAIL PROPERTIES I   COM            637417106         48,132      2,800       X        28-5284      1600              1200
                                                               373,195     21,710       X      X 28-5284     21710

NATIONAL SEMICONDUCTOR CORP    COM            637640103            363         36       X        28-5284        36
                                                                62,504      6,207       X      X 28-5284       207              6000

NATIONWIDE FINL SVCS INC       CL A           638612101         19,996        383       X        28-5284       383
                                                               335,240      6,421       X      X 28-5284      4713              1708

NATIONWIDE HEALTH PPTYS INC    COM            638620104        291,881     10,163       X        28-5284     10163
                                                               283,179      9,860       X      X 28-5284      3410              6450

NATIONWIDE HEALTH PPTYS INC    PFD CVB 7.75%  638620302      7,705,751     60,000       X        28-11439    60000

NATURAL GAS SERVICES GROUP     COM            63886Q109          2,026        200       X        28-5284                         200

NAVIGATORS GROUP INC           COM            638904102        320,235      5,832       X        28-11135     5832

NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103         69,800      4,000       X        28-5284      4000
                                                               314,903     18,046       X      X 28-5284     13046      5000

NATURE VISION INC              COM            63902E106             27         78       X        28-5284        78

NATUS MEDICAL INC DEL          COM            639050103          6,475        500       X      X 28-5284       500

NAUTILUS INC                   COM            63910B102            884        400       X      X 28-5284       400

NAVISTAR INTL CORP NEW         COM            63934E108          3,207        150       X        28-5284       150
                                                                32,070      1,500       X      X 28-5284                        1500

NAVIGANT CONSULTING INC        COM            63935N107         52,371      3,300       X      X 28-5284      3300
               COLUMN TOTAL                                 13,571,466







                                                                                                                    FILE NO. 28-1235
PAGE 146 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NEENAH PAPER INC               COM            640079109          1,140        129       X        28-5284       129
                                                                 1,547        175       X      X 28-5284       175

NEOPHARM INC                   COM            640919106              9         57       X      X 28-5284                          57

NESS TECHNOLOGIES INC          COM            64104X108         16,692      3,900       X        28-5284      3500               400
                                                                11,984      2,800       X      X 28-5284      2800

NET SERVICOS DE COMUNICACAO    SPONSD ADR NEW 64109T201            582        100       X        28-5284       100

NETAPP INC                     COM            64110D104         14,752      1,056       X        28-5284      1056
                                                               161,493     11,560       X      X 28-5284     11560
                                                                 4,470        320       X      X 28-4580       320

NETFLIX INC                    COM            64110L106         20,146        674       X      X 28-5284       674

NETEZZA CORP                   COM            64111N101          1,240        194       X        28-5284       194

NETLIST INC                    COM            64118P109         46,217    158,277       X      X 28-5284              158277

NETWORK EQUIP TECHNOLOGIES     COM            641208103            547        190       X        28-5284                         190

NEUBERGER BERMAN INTER MUNI    COM            64124P101          5,675        500       X        28-5284       500

NEUROMETRIX INC                COM            641255104          3,174      3,648       X        28-5284      3648

NEUBERGER BERMAN INCOME OPP    COM SHS        64126L108         17,500      5,000       X      X 28-5284      5000

NEUSTAR INC                    CL A           64126X201         19,130      1,000       X        28-5284      1000
                                                                54,521      2,850       X      X 28-5284      2850

NEUTRAL TANDEM INC             COM            64128B108      4,572,872    281,928       X        28-5284    281928
                                                               423,342     26,100       X      X 28-5284     26100

NEW AMER HIGH INCOME FD INC    COM            641876107         11,970     13,300       X      X 28-5284                       13300

NEUBERGER BERMAN RE ES SEC F   COM            64190A103          4,024      2,223       X        28-5284      2223

NEW FRONTIER MEDIA INC         COM            644398109          2,598      1,528       X        28-5284      1528
                                                               149,260     87,800       X      X 28-5284               87800

NEW GERMANY FD INC             COM            644465106          9,956      1,243       X        28-5284      1243
                                                                25,232      3,150       X      X 28-5284                3150
               COLUMN TOTAL                                  5,580,073







                                                                                                                    FILE NO. 28-1235
PAGE 147 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NEW JERSEY RES                 COM            646025106        512,298     13,019       X        28-5284     12674               345
                                                            14,650,910    372,323       X      X 28-5284      8298            364025

NEW YORK CMNTY BANCORP INC     COM            649445103        940,678     78,652       X        28-5284     78651                 1
                                                               590,477     49,371       X      X 28-5284     47821              1550
                                                                 1,184         99       X        28-11135       99
                                                                47,840      4,000       X        28-11439     4000
                                                                 2,990        250       X        28-4580       250

NEW YORK TIMES CO              CL A           650111107         74,810     10,206       X        28-5284      6616              3590
                                                                 9,983      1,362       X      X 28-5284      1362

NEWCASTLE INVT CORP            COM            65105M108            378        450       X        28-5284       450
                                                                25,603     30,480       X      X 28-5284     29480              1000

NEWELL RUBBERMAID INC          COM            651229106        917,296     93,793       X        28-5284     90068              3725
                                                             2,858,303    292,260       X      X 28-5284     64306            227954
                                                                 3,042        311       X        28-11135      311

NEWFIELD EXPL CO               COM            651290108        171,825      8,700       X        28-5284      3300              5400
                                                               194,597      9,853       X      X 28-5284      6053              3800

NEWMONT MINING CORP            COM            651639106      2,061,781     50,658       X        28-5284     46194              4464
                                                             4,663,976    114,594       X      X 28-5284    112140       575    1879
                                                                66,422      1,632       X        28-11135     1632
                                                                28,490        700       X        28-4580       200               500
                                                               164,835      4,050       X      X 28-4580      4050

NEWPORT CORP                   COM            651824104          3,173        468       X        28-5284       468

NEWS CORP                      CL A           65248E104      3,933,198    432,695       X        28-5284    399460             33235
                                                             1,301,388    143,167       X      X 28-5284    129295      3400   10472
                                                                   164         18       X        28-11135       18
                                                                18,698      2,057       X        28-4580      1657               400
                                                                11,363      1,250       X      X 28-4580      1250

NEWS CORP                      CL B           65248E203        541,232     56,496       X        28-5284     56496
                                                               226,088     23,600       X      X 28-5284     23200               400

NEXCEN BRANDS INC              COM            653351106          2,200     20,000       X      X 28-5284               20000

NFJ DIVID INT & PREM STRTGY    COM SHS        65337H109          8,871        685       X        28-5284       685
                                                                 6,475        500       X      X 28-5284       500
               COLUMN TOTAL                                 34,040,568







                                                                                                                    FILE NO. 28-1235
PAGE 148 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NICHOLAS-APPLGT INTL & PRM S   COM            65370C108          3,776        343       X        28-5284       343

NICHOLAS-APPLEGATE CV & INC    COM            65370F101        156,967     33,829       X        28-5284      2229             31600

NICHOLAS APPLEGATE CV&INC FD   COM            65370G109         11,735      2,729       X        28-5284      2729

NICHOLAS APPLEGATE EQT CONV    COM            65370K100          9,704        800       X        28-5284       800

NICOR INC                      COM            654086107        146,290      4,211       X        28-5284      3511               700
                                                               152,856      4,400       X      X 28-5284      2900              1500

NIDEC CORP                     SPONSORED ADR  654090109         13,577      1,384       X        28-5284      1384

NIKE INC                       CL B           654106103     47,325,399    927,949       X        28-5284    866349             61600
                                                            21,844,524    428,324       X      X 28-5284    385885      5915   36524
                                                               865,215     16,965       X        28-11135    16965
                                                               663,408     13,008       X        28-4580     12713               295
                                                               284,427      5,577       X      X 28-4580      5577

NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105         78,851      2,900       X        28-5284      2900
                                                                10,142        373       X      X 28-5284       373
                                                               496,381     18,256       X        28-11135    18256

NISOURCE INC                   COM            65473P105         60,258      5,493       X        28-5284      1793              3700
                                                                81,485      7,428       X      X 28-5284      7428
                                                                 4,037        368       X        28-11135      368

NISSAN MOTORS                  SPONSORED ADR  654744408         22,816      3,134       X        28-5284      3134
                                                                   903        124       X      X 28-5284       124

NOKIA CORP                     SPONSORED ADR  654902204      7,607,543    487,663       X        28-5284    481100              6563
                                                             5,728,336    367,201       X      X 28-5284    326876      1025   39300
                                                               356,476     22,851       X        28-11135    22851
                                                                82,680      5,300       X        28-4580      5300
                                                                16,380      1,050       X      X 28-4580      1050

NOBLE ENERGY INC               COM            655044105        681,943     13,855       X        28-5284      4515              9340
                                                               145,691      2,960       X      X 28-5284      2960
                                                                18,310        372       X        28-11135      372

NOMURA HLDGS INC               SPONSORED ADR  65535H208         40,990      4,909       X        28-5284      4909
                                                                   192         23       X      X 28-5284        23
                                                                   585         70       X        28-11135       70
               COLUMN TOTAL                                 86,911,877







                                                                                                                    FILE NO. 28-1235
PAGE 149 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NORAM ENERGY CORP              SDCV  6.000% 3 655419AC3        918,000     10,200       X        28-5284     10200
                                                             1,660,500     18,450       X      X 28-5284     18450

NORDSON CORP                   COM            655663102          1,550         48       X        28-5284        48

NORDSTROM INC                  COM            655664100      2,369,340    178,012       X        28-5284    175987              2025
                                                               893,181     67,106       X      X 28-5284     63306              3800
                                                               137,439     10,326       X        28-11135    10326
                                                                37,428      2,812       X        28-4580      2812
                                                                 7,054        530       X      X 28-4580       530

NORFOLK SOUTHERN CORP          COM            655844108     30,190,056    641,659       X        28-5284    592108       100   49451
                                                            27,691,042    588,545       X      X 28-5284    491834      2676   94035
                                                               136,163      2,894       X        28-11135     2894
                                                               458,126      9,737       X        28-4580      9343               394
                                                               132,163      2,809       X      X 28-4580      2809

NORTEL NETWORKS CORP NEW       COM NEW        656568508         22,827     87,798       X        28-5284     87508               290
                                                                 1,537      5,913       X      X 28-5284      5767        35     111
                                                                    45        173       X        28-4580       167                 6
                                                                    22         86       X      X 28-4580        81                 5

NORTH AMERN GALVANZNG & CTNG   COM            65686Y109      2,017,280    526,705       X        28-5284                      526705

NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106        233,200     10,600       X        28-5284     10600
                                                                52,800      2,400       X      X 28-5284      2400

NORTHEAST UTILS                COM            664397106          2,478        103       X        28-5284       103
                                                                 6,015        250       X      X 28-5284       250

NORTHERN TR CORP               COM            665859104     38,450,643    737,450       X        28-5284    689055             48395
                                                            13,703,852    262,828       X      X 28-5284    237105      3399   22324
                                                                12,305        236       X        28-11135      236
                                                               420,040      8,056       X        28-4580      7926               130
                                                               176,755      3,390       X      X 28-4580      3390

NORTHFIELD LABS INC            COM            666135108            495        500       X        28-5284       500
               COLUMN TOTAL                                119,732,336







                                                                                                                    FILE NO. 28-1235
PAGE 150 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NORTHROP GRUMMAN CORP          COM            666807102      3,141,180     69,742       X        28-5284     64997              4745
                                                             4,584,486    101,787       X      X 28-5284     94259              7528
                                                               216,147      4,799       X        28-11135     4799
                                                                80,982      1,798       X        28-4580      1798

NORTHSTAR RLTY FIN CORP        COM            66704R100          1,173        300       X        28-5284       300
                                                                96,030     24,560       X      X 28-5284     24560

NORTHWEST BANCORP INC PA       COM            667328108          6,842        320       X        28-5284       320
                                                                26,191      1,225       X      X 28-5284      1225

NORTHWEST NAT GAS CO           COM            667655104         64,134      1,450       X        28-5284      1230               220
                                                               119,421      2,700       X      X 28-5284      2700
                                                                40,249        910       X        28-11135      910

NORTHWESTERN CORP              COM NEW        668074305         23,470      1,000       X      X 28-5284      1000

NORWOOD FINANCIAL CORP         COM            669549107        124,603      4,531       X        28-5284      4531
                                                                 7,205        262       X      X 28-5284       262

NOVA CHEMICALS CORP            COM            66977W109         46,431      9,734       X        28-5284      9734

NOVARTIS A G                   SPONSORED ADR  66987V109      4,157,995     83,561       X        28-5284     80676              2885
                                                             3,643,228     73,216       X      X 28-5284     50946             22270
                                                               118,429      2,380       X        28-11135     2380

NU HORIZONS ELECTRS CORP       COM            669908105          1,720      1,000       X        28-5284      1000

NOVELL INC                     COM            670006105          3,454        888       X        28-5284       888

NOVELLUS SYS INC               COM            670008101            506         41       X      X 28-5284        41

NOVEN PHARMACEUTICALS INC      COM            670009109          2,200        200       X        28-5284                         200

NOVO-NORDISK A S               ADR            670100205        859,344     16,722       X        28-5284     16722
                                                             2,332,541     45,389       X      X 28-5284     45389
                                                                 1,593         31       X        28-4580        31

NSTAR                          COM            67019E107      4,479,476    122,759       X        28-5284    117659              5100
                                                             1,053,758     28,878       X      X 28-5284     20212              8666
                                                                29,995        822       X        28-4580       822

NTELOS HLDGS CORP              COM            67020Q107         17,410        706       X        28-11135      706
               COLUMN TOTAL                                 25,280,193







                                                                                                                    FILE NO. 28-1235
PAGE 151 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NUANCE COMMUNICATIONS INC      COM            67020Y100        300,637     29,019       X        28-5284     29019
                                                               215,198     20,772       X      X 28-5284      1075             19697
                                                                83,626      8,072       X        28-11135     8072

NUCOR CORP                     COM            670346105      1,214,552     26,289       X        28-5284     25189              1100
                                                             1,330,329     28,795       X      X 28-5284     28595               200

NUMEREX CORP PA                CL A           67053A102      1,054,508    289,700       X      X 28-5284    289700

NUSTAR ENERGY LP               UNIT COM       67058H102        108,645      2,646       X        28-5284      2646
                                                               269,928      6,574       X      X 28-5284      5074              1500

NUSTAR GP HOLDINGS LLC         UNIT RESTG LLC 67059L102          8,840        500       X        28-5284       500

NUVEEN INSD PREM INCOME MUN    COM            6706D8104         18,758      2,000       X      X 28-5284      2000

NUVEEN EQTY PRM OPPORTUNITYF   COM            6706EM102         23,144      2,167       X        28-5284      2167
                                                                32,040      3,000       X      X 28-5284      3000

NUVEEN EQUITY PREM INCOME FD   COM            6706ER101         15,509      1,444       X        28-5284      1444

NUVEEN EQUITY PREM ADV FD      COM            6706ET107         10,340      1,000       X        28-5284      1000
                                                                51,700      5,000       X      X 28-5284                        5000

NUVEEN PA PREM INCOME MUN FD   COM            67061F101        188,885     21,887       X        28-5284     21887
                                                               145,726     16,886       X      X 28-5284     16886

NUVEEN MD PREM INCOME MUN FD   COM            67061Q107         29,312      2,988       X      X 28-5284      2988

NUVEEN SELECT MAT MUN FD       SH BEN INT     67061T101         21,678      2,300       X      X 28-5284      2300

NUVEEN ARIZ PREM INCOME MUN    COM            67061W104         40,955      4,442       X      X 28-5284      4442

NUVEEN INVT QUALITY MUN FD I   COM            67062E103         22,703      2,195       X        28-5284      2195
                                                                76,300      7,377       X      X 28-5284      7377

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67062F100         12,411        900       X        28-5284       900
                                                                43,439      3,150       X      X 28-5284      3150

NUVEEN MUN ADVANTAGE FD INC    COM            67062H106         83,120      8,000       X        28-5284      8000
                                                                 3,117        300       X      X 28-5284       300

NUVEEN MUN INCOME FD INC       COM            67062J102         75,715      7,970       X      X 28-5284      7970
               COLUMN TOTAL                                  5,481,115







                                                                                                                    FILE NO. 28-1235
PAGE 152 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 INSD QUALITY MUN FD I   COM            67062N103         71,508      7,158       X        28-5284      7158

NUVEEN PERFORMANCE PLUS MUN    COM            67062P108        107,034      9,472       X      X 28-5284      9472

NUVEEN PREM INCOME MUN FD      COM            67062T100         25,897      2,529       X        28-5284      2529
                                                                15,360      1,500       X      X 28-5284      1500

NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103         65,066      6,322       X        28-5284      6322

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106        109,140      8,500       X      X 28-5284      8500

NUVEEN PREM INCOME MUN FD 2    COM            67063W102         33,158      3,270       X      X 28-5284      3270

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063X100         13,560      1,000       X      X 28-5284      1000

NUVEEN TAX FREE ADV MUN FD     COM            670657105        150,311     14,453       X      X 28-5284     14453

NVIDIA CORP                    COM            67066G104        504,932     62,569       X        28-5284     60889              1680
                                                               561,099     69,529       X      X 28-5284     67379      1500     650
                                                                   404         50       X        28-4580        50

NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101          2,976        300       X        28-5284       300
                                                                19,840      2,000       X      X 28-5284      2000

NUVEEN SR INCOME FD            COM            67067Y104          1,635        500       X        28-5284       500

NUVEEN MUN HIGH INC OPP FD     COM            670682103          9,955      1,100       X        28-5284      1100
                                                                97,740     10,800       X      X 28-5284      6600              4200

NUVEEN MUN HIGH INC OPPTY FD   COM            670683101         17,986      2,300       X      X 28-5284                        2300

NUTRI SYS INC NEW              COM            67069D108          5,107        350       X        28-5284       350
                                                                 1,299         89       X      X 28-5284        89

NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103         37,626      3,895       X        28-5284      3895
                                                                12,655      1,310       X      X 28-5284      1310

NUVEEN MD DIV ADV MUNI FD 2    COM SH BEN INT 67070V105          7,028        700       X        28-5284       700
                                                                50,200      5,000       X      X 28-5284                        5000

NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101          5,015        500       X        28-5284       500
                                                                 5,015        500       X      X 28-5284       500
                                                                   130         13       X        28-11135       13
               COLUMN TOTAL                                  1,931,676







                                                                                                                    FILE NO. 28-1235
PAGE 153 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 REAL ESTATE INCOME FD   COM            67071B108          6,340      1,248       X      X 28-5284      1248

NUVEEN INSD DIVID ADVANTAGE    COM            67071L106         40,225      3,510       X      X 28-5284      3510

NUVEEN QUALITY PFD INCOME FD   COM            67071S101          4,860      1,000       X        28-5284      1000
                                                                30,569      6,290       X      X 28-5284      6290

NUVEEN NEW JERSEY DIVID        COM            67071T109         31,350      3,300       X        28-5284      3300

NUVEEN QUALITY PFD INCOME FD   COM            67072C105          5,972      1,185       X        28-5284      1185
                                                                12,020      2,385       X      X 28-5284      2385

NUVEEN QUALITY PFD INC FD 3    COM            67072W101          5,080      1,000       X        28-5284      1000

NUVEEN MULTI STRAT INC & GR    COM            67073B106          7,806      1,697       X        28-5284      1697
                                                                14,499      3,152       X        28-4580      3152

NUVEEN MULTI STRAT INC GR FD   COM SHS        67073D102          3,000        616       X        28-5284       616
                                                                19,480      4,000       X      X 28-5284      4000
                                                                 6,053      1,243       X        28-4580      1243

NV ENERGY INC                  COM            67073Y106         23,242      2,350       X        28-5284      2350

O CHARLEYS INC                 COM            670823103            340        170       X        28-5284                         170

OGE ENERGY CORP                COM            670837103        144,213      5,594       X        28-5284      5480               114
                                                               176,206      6,835       X      X 28-5284      6835

OM GROUP INC                   COM            670872100         19,843        940       X        28-5284       680               260

NUVEEN MULT CURR ST GV INCM    COM            67090N109         10,064        724       X        28-5284       724

NUVEEN CORE EQUITY ALPHA FUN   COM            67090X107         10,888      1,133       X        28-5284      1133

NUVEEN MUN VALUE FD INC        COM            670928100      2,761,571    320,740       X        28-5284    320740
                                                               276,390     32,101       X      X 28-5284     32101

NUVEEN NJ INVT QUALITY MUN F   COM            670971100         50,806      5,320       X        28-5284      5320
                                                                 9,550      1,000       X      X 28-5284      1000

NUVEEN PA INVT QUALITY MUN F   COM            670972108        234,839     25,526       X        28-5284     25526
                                                               190,376     20,693       X      X 28-5284     20693
               COLUMN TOTAL                                  4,095,582







                                                                                                                    FILE NO. 28-1235
PAGE 154 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NUVEEN QUALITY INCOME MUN FD   COM            670977107        153,938     13,647       X        28-5284     13647
                                                                70,692      6,267       X      X 28-5284      6267

NUVEEN INSD MUN OPPORTUNITY    COM            670984103        128,038     11,955       X        28-5284     11955

NUVEEN NJ PREM INCOME MUN FD   COM            67101N106        199,352     19,602       X        28-5284     19602

OSI PHARMACEUTICALS INC        COM            671040103          4,296        110       X        28-5284       110
                                                                59,903      1,534       X      X 28-5284      1534
                                                                42,760      1,095       X        28-11135     1095

OYO GEOSPACE CORP              COM            671074102            943         54       X        28-5284        54
                                                                49,790      2,850       X      X 28-5284      2850

OBAGI MEDICAL PRODUCTS INC     COM            67423R108         37,300      5,000       X      X 28-5284      5000

OCCIDENTAL PETE CORP DEL       COM            674599105     27,519,153    458,729       X        28-5284    429439             29290
                                                             8,923,572    148,751       X      X 28-5284    133415      3306   12030
                                                               490,598      8,178       X        28-11135     8178
                                                               419,690      6,996       X        28-4580      6996
                                                               136,897      2,282       X      X 28-4580      2282

OCEAN PWR TECHNOLOGIES INC     COM NEW        674870308         26,760      4,000       X        28-5284      4000
                                                                 2,007        300       X      X 28-5284       300

OCEANEERING INTL INC           COM            675232102          1,807         62       X        28-5284        62
                                                               329,282     11,300       X      X 28-5284     10900               400
                                                                 3,817        131       X        28-11135      131

OCEANFIRST FINL CORP           COM            675234108         66,832      4,026       X      X 28-5284      4026

OCWEN FINL CORP                NOTE  3.250% 8 675746AD3      1,582,950      1,730       X        28-11439     1730

OCWEN FINL CORP                COM NEW        675746309        562,578     61,283       X        28-11135    61283

ODYSSEY HEALTHCARE INC         COM            67611V101         84,175      9,100       X        28-5284                        9100

ODYSSEY RE HLDGS CORP          COM            67612W108         34,246        661       X        28-5284                         661
                                                                   155          3       X      X 28-5284         3

OFFICEMAX INC DEL              COM            67622P101            176         23       X        28-5284        23
                                                                   764        100       X        28-4580       100
               COLUMN TOTAL                                 40,932,471







                                                                                                                    FILE NO. 28-1235
PAGE 155 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
OFFICE DEPOT INC               COM            676220106          2,113        709       X        28-5284       709

OIL SVC HOLDRS TR              DEPOSTRY RCPT  678002106         44,250        600       X        28-5284       600
                                                                75,668      1,026       X      X 28-5284       600               426

OIL STS INTL INC               COM            678026105            486         26       X      X 28-5284        26
                                                                19,998      1,070       X        28-11135     1070

OLD LINE BANCSHARES INC        COM            67984M100        182,100     30,000       X      X 28-5284     30000

OLD NATL BANCORP IND           COM            680033107          4,540        250       X        28-5284       250

OLD REP INTL CORP              COM            680223104        187,895     15,763       X        28-5284     15763
                                                             1,986,396    166,644       X      X 28-5284    165044              1600

OLIN CORP                      COM PAR $1     680665205          2,748        152       X        28-5284       152
                                                               241,531     13,359       X      X 28-5284     13359

OMNICARE INC                   COM            681904108      1,522,608     54,849       X        28-5284     48604              6245
                                                               284,096     10,234       X      X 28-5284      4854      1100    4280

OMNICOM GROUP INC              COM            681919106      8,210,115    304,982       X        28-5284    291807             13175
                                                             6,854,505    254,625       X      X 28-5284    240781      3700   10144
                                                               168,573      6,262       X        28-4580      6078               184
                                                                21,132        785       X      X 28-4580       785

OMEGA HEALTHCARE INVS INC      COM            681936100        375,774     23,530       X        28-5284     23530
                                                                20,761      1,300       X      X 28-5284      1300

OMRIX BIOPHARMACEUTICALS INC   COM            681989109         14,994        600       X      X 28-5284       600
                                                                10,046        402       X        28-11135      402

OMEGA FLEX INC                 COM            682095104          3,141        150       X      X 28-5284       150

OMNITURE INC                   COM            68212S109         11,810      1,110       X        28-5284      1110

OMNICELL INC                   COM            68213N109         19,963      1,635       X      X 28-5284      1635

OMNICARE CAP TR I              PIERS          68214Q200      3,469,000    100,000       X        28-11439   100000

ON ASSIGNMENT INC              COM            682159108          1,418        250       X        28-5284                         250

ON SEMICONDUCTOR CORP          COM            682189105         10,200      3,000       X      X 28-5284      3000
               COLUMN TOTAL                                 23,745,861







                                                                                                                    FILE NO. 28-1235
PAGE 156 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103        195,865      4,300       X        28-5284      4300
                                                               122,985      2,700       X      X 28-5284      2700

ONEOK INC NEW                  COM            682680103        216,798      7,445       X        28-5284      3720              3725
                                                               263,536      9,050       X      X 28-5284      9050
                                                                 1,893         65       X        28-11135       65

ONLINE RES CORP                COM            68273G101          2,166        457       X        28-5284       457

ONSTREAM MEDIA CORP            COM            682875109            630      2,172       X        28-5284      2172

ONVIA INC                      COM NEW        68338T403         15,010      4,389       X      X 28-5284                4389

ONYX PHARMACEUTICALS INC       COM            683399109          3,416        100       X        28-5284       100
                                                                17,080        500       X      X 28-5284       500

OPEN JT STK CO-VIMPEL COMMUN   SPONSORED ADR  68370R109         55,490      7,750       X        28-5284      7750

OPEN TEXT CORP                 COM            683715106          6,026        200       X        28-5284       200
                                                               473,945     15,730       X      X 28-5284     15730

OPKO HEALTH INC                COM            68375N103          9,720      6,000       X      X 28-5284      6000

OPLINK COMMUNICATIONS INC      COM NEW        68375Q403         35,673      4,148       X      X 28-5284                4148

OPNEXT INC                     COM            68375V105            350        200       X        28-5284       200

OPPENHEIMER HLDGS INC          CL A NON VTG   683797104          9,016        700       X        28-5284       700

OPTICAL CABLE CORP             COM NEW        683827208         98,579     36,376       X      X 28-5284               36376

ORACLE CORP                    COM            68389X105     71,171,642  4,014,193       X        28-5284   3775435            238758
                                                            32,924,858  1,857,014       X      X 28-5284   1711309     24924  120781
                                                             1,427,566     80,517       X        28-11135    80517
                                                             1,271,560     71,718       X        28-4580     70253              1465
                                                               556,828     31,406       X      X 28-4580     31406

OPTIONSXPRESS HLDGS INC        COM            684010101          2,672        200       X        28-5284       200
                                                                10,154        760       X      X 28-5284       760

ORBITAL SCIENCES CORP          NOTE  2.438% 1 685564AN6        182,000      2,000       X        28-4580      2000

ORBITAL SCIENCES CORP          COM            685564106          5,859        300       X        28-5284       300
               COLUMN TOTAL                                109,081,317







                                                                                                                    FILE NO. 28-1235
PAGE 157 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
O REILLY AUTOMOTIVE INC        COM            686091109        110,203      3,585       X        28-5284      3585
                                                                 3,074        100       X      X 28-5284       100
                                                               281,548      9,159       X        28-11135     9159

ORITANI FINL CORP              COM            686323106         33,700      2,000       X        28-5284      2000

ORIX CORP                      SPONSORED ADR  686330101         15,460        544       X        28-5284       544
                                                                   114          4       X      X 28-5284         4
                                                                39,873      1,403       X        28-11135     1403

ORTHOLOGIC CORP                COM            68750J107        157,553    375,125       X      X 28-5284              375125

OSCIENT PHARMACEUTICALS CORP   COM NEW        68812R303             23        128       X        28-5284       128

OSHKOSH CORP                   COM            688239201      1,243,978    139,930       X        28-5284    125350             14580
                                                               280,933     31,601       X      X 28-5284      5601             26000
                                                                79,023      8,889       X        28-11135     8889

OSTEOTECH INC                  COM            688582105            220        130       X        28-5284                         130

OVERSEAS SHIPHOLDING GROUP I   COM            690368105         24,803        589       X      X 28-5284       589

OWENS & MINOR INC NEW          COM            690732102         12,801        340       X        28-5284                         340
                                                                14,081        374       X      X 28-5284       374
                                                                40,323      1,071       X        28-11135     1071

OWENS CORNING NEW              COM            690742101            900         52       X        28-5284        52
                                                                 3,875        224       X      X 28-5284        24               200

OWENS ILL INC                  COM NEW        690768403      1,460,980     53,457       X        28-5284     51619              1838
                                                             1,270,927     46,503       X      X 28-5284     45303       200    1000
                                                                25,444        931       X        28-11135      931
                                                                91,364      3,343       X        28-4580      3343
                                                                20,935        766       X      X 28-4580       766

OXFORD INDS INC                COM            691497309          1,140        130       X        28-5284                         130
                                                                20,171      2,300       X      X 28-5284      2300

OXIGENE INC                    COM            691828107          1,320      2,000       X        28-5284      2000

PCM FUND INC                   COM            69323T101         87,659     14,300       X      X 28-5284                       14300
               COLUMN TOTAL                                  5,322,425







                                                                                                                    FILE NO. 28-1235
PAGE 158 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PC-TEL INC                     COM            69325Q105            920        140       X        28-5284                         140

PDL BIOPHARMA INC              COM            69329Y104         67,931     10,992       X        28-11135    10992

PG&E CORP                      COM            69331C108        270,776      6,995       X        28-5284      5695              1300
                                                               190,453      4,920       X      X 28-5284      4920
                                                                 2,323         60       X        28-4580        60

PHC INC MASS                   CL A           693315103          4,725      3,500       X      X 28-5284      3500

PHH CORP                       COM NEW        693320202          3,170        249       X      X 28-5284       249

P F CHANGS CHINA BISTRO INC    COM            69333Y108          5,675        271       X        28-5284        71               200
                                                                76,431      3,650       X      X 28-5284      3650
                                                                12,501        597       X        28-11135      597

PGT INC                        COM            69336V101          1,130      1,000       X        28-5284      1000

PICO HLDGS INC                 COM NEW        693366205          3,668        138       X        28-5284                         138
                                                               132,900      5,000       X      X 28-5284      5000

PMC-SIERRA INC                 COM            69344F106            486        100       X        28-5284       100
                                                                 4,860      1,000       X      X 28-5284      1000
                                                                   330         68       X        28-11135       68

PMI GROUP INC                  COM            69344M101          3,650      1,872       X        28-5284                        1872
                                                               240,577    123,373       X      X 28-5284    123373

PNC FINL SVCS GROUP INC        COM            693475105     81,931,381  1,672,069       X        28-5284   1622220      4035   45814
                                                           139,140,204  2,839,596       X      X 28-5284   1511476     23156 1304964
                                                                 9,114        186       X        28-11135      186
                                                             4,789,015     97,735       X        28-4580     94060              3675
                                                             5,015,493    102,357       X      X 28-4580     99132              3225

PNC FINL SVCS GROUP INC        PFD A CV $1.80 693475204          9,450         27       X      X 28-5284        27

PNC FINL SVCS GROUP INC        PFD CV D $1.80 693475501         82,844      1,014       X        28-5284      1014
                                                                 2,043         25       X      X 28-5284        25

POSCO                          SPONSORED ADR  693483109        302,806      4,024       X        28-5284        24              4000
                                                                90,601      1,204       X      X 28-5284      1204
               COLUMN TOTAL                                232,395,457







                                                                                                                    FILE NO. 28-1235
PAGE 159 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PNM RES INC                    COM            69349H107          5,625        558       X        28-5284       548                10
                                                                40,320      4,000       X      X 28-5284      3000              1000
                                                                 1,179        117       X        28-4580       117

PPG INDS INC                   COM            693506107     16,100,827    379,468       X        28-5284    362685             16783
                                                            22,805,107    537,476       X      X 28-5284    521053      2100   14323
                                                                67,591      1,593       X        28-11135     1593
                                                                83,927      1,978       X        28-4580      1978
                                                               727,293     17,141       X      X 28-4580     17141

PPL CORP                       COM            69351T106     14,050,373    457,816       X        28-5284    447431       900    9485
                                                            16,754,622    545,931       X      X 28-5284    526071       945   18915
                                                                 3,315        108       X        28-11135      108
                                                                15,161        494       X        28-4580       494
                                                                39,897      1,300       X      X 28-4580      1300

PSS WORLD MED INC              COM            69366A100        161,852      8,600       X      X 28-5284      8600

PACCAR INC                     COM            693718108         55,741      1,949       X        28-5284       869              1080
                                                                43,987      1,538       X      X 28-5284      1538
                                                                 2,488         87       X        28-11135       87

PACHOLDER HIGH YIELD FD INC    COM            693742108          6,650      1,807       X        28-5284      1807

PACIFIC CAP BANCORP NEW        COM            69404P101          1,232         73       X        28-5284        73
                                                                25,320      1,500       X      X 28-5284                        1500

PACIFIC ETHANOL INC            COM            69423U107             11         25       X        28-5284        25
                                                                     8         18       X        28-4580        18

PACIFIC MERCANTILE BANCORP     COM            694552100         19,600      4,000       X        28-4580                        4000

PACKAGING CORP AMER            COM            695156109         21,536      1,600       X        28-5284                        1600

PACTIV CORP                    COM            695257105         88,548      3,559       X        28-5284      3559
                                                                30,005      1,206       X      X 28-5284      1206
                                                                22,616        909       X        28-11135      909
                                                                 2,488        100       X        28-4580       100
               COLUMN TOTAL                                 71,177,319







                                                                                                                    FILE NO. 28-1235
PAGE 160 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PACWEST BANCORP DEL            COM            695263103         68,595      2,550       X      X 28-5284                        2550

PAIN THERAPEUTICS INC          COM            69562K100         15,688      2,650       X        28-5284      2650

PALL CORP                      COM            696429307        132,740      4,669       X        28-5284      4389               280
                                                                28,430      1,000       X      X 28-5284      1000
                                                                20,185        710       X        28-11135      710

PALM INC NEW                   COM            696643105         10,438      3,400       X        28-5284      3400
                                                                30,817     10,038       X      X 28-5284     10010                28

PALOMAR MED TECHNOLOGIES INC   COM NEW        697529303          1,280        111       X      X 28-5284       111

PAN AMERICAN SILVER CORP       COM            697900108         17,070      1,000       X      X 28-5284      1000

PANASONIC CORP                 ADR            69832A205         56,017      4,503       X        28-5284      4503
                                                                 6,419        516       X      X 28-5284       516

PANERA BREAD CO                CL A           69840W108        442,264      8,466       X        28-5284      7106              1360
                                                               405,800      7,768       X      X 28-5284      5773              1995

PAPA JOHNS INTL INC            COM            698813102         38,076      2,066       X        28-5284      2066

PARAGON SHIPPING INC           CL A           69913R309          3,325        700       X      X 28-5284       700

PARAMETRIC TECHNOLOGY CORP     COM NEW        699173209          1,556        123       X        28-5284       123

PAREXEL INTL CORP              COM            699462107          4,467        460       X        28-5284                         460
                                                               167,381     17,238       X        28-11135    17238

PARK ELECTROCHEMICAL CORP      COM            700416209         13,518        713       X        28-5284       533               180
                                                                 1,517         80       X        28-11135       80

PARK NATL CORP                 COM            700658107         78,925      1,100       X        28-5284      1100

PARKE BANCORP INC              COM            700885106        165,289     21,494       X      X 28-5284     21494

PARKER DRILLING CO             COM            701081101          2,030        700       X      X 28-5284       700

PARKER HANNIFIN CORP           COM            701094104        230,099      5,409       X        28-5284      5189               220
                                                               795,455     18,699       X      X 28-5284     14899              3800
                                                                94,822      2,229       X        28-11135     2229
               COLUMN TOTAL                                  2,832,203







                                                                                                                    FILE NO. 28-1235
PAGE 161 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PARKVALE FINL CORP             COM            701492100         25,449      2,049       X      X 28-4580      2049

PARKWAY PPTYS INC              COM            70159Q104            648         36       X        28-11135       36

PARTICLE DRILLING TECHNOLOGI   COM            70212G101         11,000    100,000       X      X 28-5284              100000

PATRICK INDS INC               COM            703343103          1,376      2,150       X        28-5284      2150

PATRIOT COAL CORP              COM            70336T104         12,613      2,018       X        28-5284      1788               230
                                                                31,063      4,970       X      X 28-5284      4296               674
                                                                 2,063        330       X      X 28-4580       330

PATTERSON COMPANIES INC        COM            703395103        127,350      6,792       X        28-5284      6672               120
                                                               250,538     13,362       X      X 28-5284      5362              8000
                                                                10,594        565       X        28-11135      565

PATTERSON UTI ENERGY INC       COM            703481101        571,391     49,643       X        28-5284     42307              7336
                                                                67,495      5,864       X      X 28-5284      5631               233

PAYCHEX INC                    COM            704326107      6,991,137    266,025       X        28-5284    263885              2140
                                                             1,349,294     51,343       X      X 28-5284     38850             12493
                                                                17,792        677       X        28-11135      677
                                                                22,075        840       X      X 28-4580       840

PEABODY ENERGY CORP            COM            704549104      1,075,461     47,273       X        28-5284     28913             18360
                                                             1,036,991     45,582       X      X 28-5284     30222      3520   11840
                                                                   683         30       X        28-4580        30
                                                                 6,825        300       X      X 28-4580       300

PEAPACK-GLADSTONE FINL CORP    COM            704699107          6,660        250       X        28-5284       250
                                                                32,234      1,210       X      X 28-5284      1210

PEARSON PLC                    SPONSORED ADR  705015105         11,772      1,234       X        28-5284      1234

PECO II INC                    COM NEW        705221208        311,126    126,990       X      X 28-5284              126990

PEDIATRIX MED GROUP            COM            705324101         12,046        380       X        28-5284                         380

PEERLESS SYS CORP              COM            705536100          9,100      5,000       X      X 28-5284                        5000

PENGROWTH ENERGY TR            TR UNIT NEW    706902509         59,558      7,816       X        28-5284      7816
                                                               384,482     50,457       X      X 28-5284     50457
               COLUMN TOTAL                                 12,438,816







                                                                                                                    FILE NO. 28-1235
PAGE 162 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PENFORD CORP                   COM            707051108          1,012        100       X        28-5284                         100

PENN NATL GAMING INC           COM            707569109         52,467      2,454       X        28-5284      2454
                                                                29,932      1,400       X      X 28-5284       400              1000

PENN VA CORP                   COM            707882106         89,787      3,456       X        28-5284      3456

PENN VA RESOURCES PARTNERS L   COM            707884102         20,466      1,800       X        28-5284      1800
                                                                17,055      1,500       X      X 28-5284      1500

PENN WEST ENERGY TR            TR UNIT        707885109         46,704      4,200       X        28-5284      4200
                                                               174,473     15,690       X      X 28-5284     15197               493

PENNANTPARK INVT CORP          COM            708062104            646        179       X        28-5284       179

PENNEY J C INC                 COM            708160106        416,891     21,162       X        28-5284     19642              1520
                                                               336,850     17,099       X      X 28-5284     16899               200
                                                                 3,448        175       X        28-4580       175
                                                                 4,925        250       X      X 28-4580       250

PENNSYLVANIA COMM BANCORP IN   COM            708677109         31,139      1,168       X        28-5284      1168

PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107        184,835     24,810       X        28-5284     24810
                                                               144,187     19,354       X      X 28-5284     16354              3000

PENTAIR INC                    COM            709631105        105,403      4,453       X        28-5284      4100               353
                                                               676,962     28,600       X      X 28-5284     12900             15700

PEOPLES UNITED FINANCIAL INC   COM            712704105      2,016,555    113,099       X        28-5284    104968              8131
                                                               509,831     28,594       X      X 28-5284     16111             12483
                                                                 3,495        196       X        28-11135      196

PEP BOYS MANNY MOE & JACK      COM            713278109          1,404        340       X        28-5284                         340

PEPCO HOLDINGS INC             COM            713291102        483,942     27,249       X        28-5284     26579               670
                                                               906,879     51,063       X      X 28-5284     46900              4163
                                                               117,731      6,629       X        28-4580      6629
                                                                68,696      3,868       X      X 28-4580      3868
               COLUMN TOTAL                                  6,445,715







                                                                                                                    FILE NO. 28-1235
PAGE 163 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PEPSI BOTTLING GROUP INC       COM            713409100        122,657      5,449       X        28-5284      5449
                                                                    45          2       X      X 28-5284         2
                                                                 4,502        200       X        28-4580       200

PEPSIAMERICAS INC              COM            71343P200        276,855     13,598       X        28-5284     11265              2333
                                                                89,584      4,400       X      X 28-5284      4131               269

PEPSICO INC                    COM            713448108    132,023,907  2,410,515       X        28-5284   2298485            112030
                                                            93,299,381  1,703,476       X      X 28-5284   1561225      9802  132449
                                                               358,196      6,540       X        28-11135     6540
                                                             2,047,850     37,390       X        28-4580     37200               190
                                                             1,378,944     25,177       X      X 28-4580     24421       756

PERICOM SEMICONDUCTOR CORP     COM            713831105          1,151        210       X        28-5284                         210

PERKINELMER INC                COM            714046109        155,110     11,151       X        28-5284     11151
                                                                92,641      6,660       X      X 28-5284      4360              2300

PERMIAN BASIN RTY TR           UNIT BEN INT   714236106          4,110        300       X        28-5284       300
                                                                74,309      5,424       X      X 28-5284      5424

PEROT SYS CORP                 CL A           714265105        298,854     21,862       X        28-11135    21862

PERRIGO CO                     COM            714290103            162          5       X        28-5284         5
                                                               797,088     24,670       X      X 28-5284     24670
                                                               344,392     10,659       X        28-11135    10659

P T TELEKOMUNIKASI INDONESIA   SPONSORED ADR  715684106          2,851        114       X        28-5284       114
                                                                   275         11       X      X 28-5284        11

PETMED EXPRESS INC             COM            716382106        416,244     23,610       X      X 28-5284     23610

PETRO-CDA                      COM            71644E102          4,728        216       X        28-5284       216

PETROCHINA CO LTD              SPONSORED  ADR 71646E100         50,719        570       X        28-5284       570
                                                               329,226      3,700       X      X 28-5284      3700
                                                                 3,114         35       X        28-11135       35
                                                                 4,449         50       X      X 28-4580        50

PETROBRAS ENERGIA PARTCPTNS    SP ADR B SHS   71646M102         25,998      4,269       X      X 28-5284      4269

PETROHAWK ENERGY CORP          COM            716495106         21,288      1,362       X        28-5284      1112               250
                                                                 6,252        400       X      X 28-5284       400
               COLUMN TOTAL                                232,234,882







                                                                                                                    FILE NO. 28-1235
PAGE 164 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101            327         16       X        28-5284        16
                                                                   612         30       X      X 28-5284        30

PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408        120,760      4,931       X        28-5284      4481               450
                                                               120,785      4,932       X      X 28-5284      4732               200
                                                                59,045      2,411       X        28-11135     2411

PETROLEUM & RES CORP           COM            716549100         30,804      1,587       X        28-5284      1587
                                                                12,578        648       X      X 28-5284       648

PETSMART INC                   COM            716768106        185,884     10,075       X        28-5284      9915               160
                                                               219,278     11,885       X      X 28-5284      6250              5635

PFIZER INC                     COM            717081103    101,992,120  5,759,013       X        28-5284   5472212            286801
                                                           108,136,676  6,105,967       X      X 28-5284   5384456     77284  644227
                                                             1,070,074     60,422       X        28-11135    60422
                                                             1,402,455     79,190       X        28-4580     78950               240
                                                             1,897,219    107,127       X      X 28-4580    105871      1256

PFSWEB INC                     COM NEW        717098206        399,703    547,539       X      X 28-5284              547539

PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT 71712A206          6,133        100       X        28-5284       100
                                                                 6,133        100       X      X 28-5284       100

PHARMACEUTICAL PROD DEV INC    COM            717124101        677,848     23,366       X        28-5284     20991              2375
                                                               201,910      6,960       X      X 28-5284      5950              1010
                                                                 3,771        130       X        28-11135      130

PHARMOS CORP                   COM PAR $.03   717139307          5,893     75,545       X      X 28-5284               75545

PHARMERICA CORP                COM            71714F104            251         16       X        28-5284        16
                                                                 1,222         78       X      X 28-5284        78

PHILIP MORRIS INTL INC         COM            718172109     55,012,913  1,264,374       X        28-5284   1228913             35461
                                                           170,141,765  3,910,406       X      X 28-5284   3854225      2854   53327
                                                               839,221     19,288       X        28-11135    19288
                                                             2,499,258     57,441       X        28-4580     55341              2100
                                                             1,607,869     36,954       X      X 28-4580     36954

PHILIPPINE LONG DISTANCE TEL   SPONSORED ADR  718252604         93,900      2,000       X        28-5284      2000

PHILLIPS VAN HEUSEN CORP       COM            718592108          1,510         75       X        28-5284        75
                                                                 1,610         80       X        28-11135       80
               COLUMN TOTAL                                446,749,527







                                                                                                                    FILE NO. 28-1235
PAGE 165 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PHOENIX COS INC NEW            COM            71902E109          8,682      2,655       X        28-5284      2655
                                                                   376        115       X      X 28-5284       115
                                                                22,403      2,312       X                     2312

PHOENIX TECHNOLOGY LTD         COM            719153108            700        200       X        28-5284                         200

PIEDMONT NAT GAS INC           COM            720186105        473,973     14,966       X        28-5284     14376               590
                                                                 7,918        250       X      X 28-5284                         250

PIMCO MUNICIPAL INCOME FD      COM            72200R107          9,156      1,200       X        28-5284      1200

PIMCO NY MUNICIPAL INCOME FD   COM            72200T103          3,455        500       X      X 28-5284                         500

PIMCO CORPORATE INCOME FD      COM            72200U100        227,125     19,750       X        28-5284      2450             17300
                                                                55,200      4,800       X      X 28-5284      2800              2000

PIMCO MUN INCOME FD II         COM            72200W106         11,492      1,700       X        28-5284      1700
                                                               125,736     18,600       X      X 28-5284      4000             14600
                                                                13,446      1,989       X        28-11135     1989

PIMCO STRATEGIC GBL GOV FD I   COM            72200X104         74,375      8,750       X        28-5284      8750
                                                                26,350      3,100       X      X 28-5284      3100

PIMCO MUN INCOME FD III        COM            72201A103          7,747      1,200       X        28-5284      1200
                                                                 2,582        400       X      X 28-5284                         400

PIMCO CORPORATE OPP FD         COM            72201B101        178,134     17,030       X        28-5284     17030
                                                                94,140      9,000       X      X 28-5284      9000

PIMCO CALIF MUN INCOME FD II   COM            72201C109          3,085        500       X      X 28-5284                         500

PIMCO NEW YORK MUN INCM FD 1   COM            72201E105          6,080      1,000       X      X 28-5284                        1000

PIMCO FLOATING RATE INCOME F   COM            72201H108        284,016     39,834       X        28-5284       234             39600

PIMCO FLOATING RATE STRTGY F   COM            72201J104         11,359      1,847       X      X 28-5284      1847

PIMCO HIGH INCOME FD           COM SHS        722014107        208,785     37,755       X        28-5284      6255             31500
                                                                46,176      8,350       X      X 28-5284      4350              4000

PIMCO INCOME OPPORTUNITY FD    COM            72202B100         42,600      2,500       X      X 28-5284      2500

PINNACLE AIRL CORP             COM            723443107            241        142       X        28-11135      142
               COLUMN TOTAL                                  1,945,332







                                                                                                                    FILE NO. 28-1235
PAGE 166 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PINNACLE WEST CAP CORP         COM            723484101         48,099      1,497       X        28-5284      1497
                                                               249,650      7,770       X      X 28-5284      7770

PIONEER HIGH INCOME TR         COM            72369H106             64          8       X        28-5284         8

PIONEER FLOATING RATE TR       COM            72369J102          5,976        850       X      X 28-5284       850

PIONEER NAT RES CO             COM            723787107         44,349      2,741       X        28-5284      2509               232
                                                               142,805      8,826       X      X 28-5284      6426              2400

PIONEER SOUTHWST ENRG PRTNR    UNIT LP INT    72388B106         13,700      1,000       X        28-5284      1000

PIPER JAFFRAY COS              COM            724078100          3,101         78       X        28-5284        78
                                                                   358          9       X      X 28-5284         9

PITNEY BOWES INC               COM            724479100      5,219,578    204,850       X        28-5284    194230             10620
                                                             6,557,507    257,359       X      X 28-5284    248159              9200
                                                                12,715        499       X        28-11135      499
                                                               280,942     11,026       X        28-4580     10426               600
                                                               105,003      4,121       X      X 28-4580      4121

PITTSBURGH & W VA RR           SH BEN INT     724819107          1,923        134       X      X 28-5284       134

PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105      1,076,465     31,031       X        28-5284     31031
                                                             3,572,723    102,990       X      X 28-5284    101990      1000

PLAINS EXPL& PRODTN CO         COM            726505100         75,623      3,254       X        28-5284      3254
                                                                 9,831        423       X      X 28-5284       423

PLANTRONICS INC NEW            COM            727493108         12,474        945       X        28-5284       945

PLEXUS CORP                    COM            729132100         99,158      5,850       X        28-5284      5850

PLUG POWER INC                 COM            72919P103          1,928      1,890       X      X 28-5284      1890

PLUM CREEK TIMBER CO INC       COM            729251108        663,430     19,097       X        28-5284     19097
                                                             2,548,492     73,359       X      X 28-5284     53359       500   19500
                                                                13,444        387       X        28-11135      387
                                                                 3,300         95       X        28-4580        95
                                                                97,098      2,795       X      X 28-4580      2795

POLARIS INDS INC               COM            731068102         20,972        732       X        28-5284        52               680
                                                                 1,433         50       X      X 28-5284                          50
               COLUMN TOTAL                                 20,882,141







                                                                                                                    FILE NO. 28-1235
PAGE 167 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
POLO RALPH LAUREN CORP         CL A           731572103        112,208      2,471       X        28-5284        71              2400
                                                                 4,541        100       X      X 28-5284       100

POLYCOM INC                    COM            73172K104            986         73       X        28-5284        73

POLYONE CORP                   COM            73179P106          2,111        670       X        28-5284                         670

POOL CORPORATION               COM            73278L105         14,376        800       X        28-5284                         800
                                                               122,645      6,825       X      X 28-5284                        6825

POPULAR INC                    COM            733174106         12,890      2,498       X        28-5284      2498

PORTFOLIO RECOVERY ASSOCS IN   COM            73640Q105            744         22       X        28-5284        22

PORTUGAL TELECOM SGPS S A      SPONSORED ADR  737273102         22,763      2,653       X        28-5284      2653
                                                                 1,030        120       X      X 28-5284       120

POST PPTYS INC                 COM            737464107         54,681      3,314       X        28-5284      3314
                                                                36,135      2,190       X      X 28-5284      2190

POTASH CORP SASK INC           COM            73755L107      1,299,069     17,742       X        28-5284     14692              3050
                                                               800,002     10,926       X      X 28-5284      5876              5050
                                                                14,864        203       X        28-11135      203
                                                                85,814      1,172       X        28-4580      1172
                                                                16,035        219       X      X 28-4580       219

POTLATCH CORP NEW              COM            737630103            884         34       X        28-5284        34
                                                                36,414      1,400       X      X 28-5284      1400

POWER-ONE INC                  COM            739308104          1,190      1,000       X        28-5284      1000

POWERSHARES QQQ TRUST          UNIT SER 1     73935A104      6,811,085    229,021       X        28-5284    227406              1615
                                                             2,502,056     84,131       X      X 28-5284     82131              2000
                                                                72,714      2,445       X        28-4580      2445
                                                                25,755        866       X      X 28-4580       866

POWERSHARES INDIA ETF TR       INDIA PORT     73935L100          3,708        300       X        28-5284       300

POWERSHARES DB CMDTY IDX TRA   UNIT BEN INT   73935S105         10,489        495       X        28-5284       495
                                                             1,043,417     49,241       X      X 28-5284     49241
                                                               667,485     31,500       X        28-4580     31500
                                                               591,201     27,900       X      X 28-4580     27900
               COLUMN TOTAL                                 14,367,292







                                                                                                                    FILE NO. 28-1235
PAGE 168 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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          PRVT EQTY PORT 73935X195        625,224     87,200       X        28-5284     87200

POWERSHARES ETF TRUST          BNKING SEC POR 73935X336        449,278     27,699       X        28-5284     27699
                                                                 1,525         94       X      X 28-5284        94

POWERSHARES ETF TRUST          GOLDEN DRG USX 73935X401            715         48       X        28-5284        48
                                                                40,007      2,685       X      X 28-5284      2685

POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500         33,989      3,943       X        28-5284      3943
                                                                98,492     11,426       X      X 28-5284     11426

POWERSHARES ETF TRUST          WATER RESOURCE 73935X575         84,915      5,901       X        28-5284      5901
                                                               571,427     39,710       X      X 28-5284     35710              4000

POWERSHARES ETF TRUST          FTSE RAFI 1000 73935X583        910,646     26,713       X        28-5284     26713
                                                             1,936,005     56,791       X      X 28-5284      6791             50000
                                                               460,420     13,506       X      X 28-4580               13506

POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609         38,628      3,590       X        28-5284      3590

POWERSHARES ETF TRUST          DYN OIL SVCS   73935X625          4,126        370       X      X 28-5284       370

POWERSHARES ETF TRUST          LX NANOTCH PTF 73935X633          1,522        200       X        28-5284       200

POWERSHARES ETF TRUST          DYN BLDG CNSTR 73935X666          9,440        800       X      X 28-5284       800

POWERSHARES ETF TRUST          VAL LINE TIME  73935X682         10,000      1,000       X        28-5284      1000

POWERSHARES ETF TRUST          DYNM LRG CP VL 73935X708         46,098      3,188       X        28-5284      3188

POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716         19,969      1,900       X        28-5284      1900
                                                                23,122      2,200       X      X 28-5284      1200              1000
                                                                 3,153        300       X      X 28-4580       300

POWERSHARES ETF TRUST          ZACKS MC PRTFL 73935X740          6,022        682       X        28-5284       682

POWERSHARES ETF TRUST          DYN SFTWR PORT 73935X773          6,655        500       X        28-5284       500

POWERSHARES ETF TRUST          DYNM MC GRWTH  73935X807         33,070      2,437       X        28-5284      2437

POWERSHARES ETF TRUST          DYN BIOT & GEN 73935X856         30,527      2,225       X        28-5284      2225

POWERSHARES ETF TRUST          DYNM SM CP VAL 73935X864          7,834        726       X        28-5284       726
               COLUMN TOTAL                                  5,452,809







                                                                                                                    FILE NO. 28-1235
PAGE 169 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 SM CP GRW 73935X872         10,686        984       X        28-5284       984

POWERSHARES ETF TRUST          DYMN MC VAL    73935X880         10,168        899       X        28-5284       899

POWERSHARES DB G10 CURCY HAR   COM UT BEN INT 73935Y102          6,797        350       X        28-5284       350

POWERSHS DB MULTI SECT COMM    DB AGRICULT FD 73936B408         30,107      1,150       X        28-5284      1150

POWERSHS DB US DOLLAR INDEX    DOLL INDX BULL 73936D107         25,184      1,020       X        28-5284      1020
                                                                12,345        500       X      X 28-5284       500

POWERSHS DB US DOLLAR INDEX    DOLL INDX BEAR 73936D206         35,477      1,355       X        28-5284      1355
                                                                 2,618        100       X      X 28-5284                         100

POWERSHARES GLOBAL ETF TRUST   I-30 LAD TREAS 73936T524      3,174,731    102,543       X      X 28-5284    102543

POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T615         12,650      1,000       X        28-5284      1000
                                                                70,840      5,600       X      X 28-5284      5600

POWERSHARES GLOBAL ETF TRUST   GBL WTR PORT   73936T623          7,278        550       X        28-5284       550
                                                                82,846      6,261       X      X 28-5284      6261

POWERSHARES GLOBAL ETF TRUST   DEV MKTS EX-US 73936T789        100,607      3,540       X      X 28-5284      3540

POWERSHARES ETF TR II          GLB NUCLR ENRG 73937B100          1,509        100       X      X 28-4580       100

POZEN INC                      COM            73941U102          3,528        700       X        28-5284       700

PRAXAIR INC                    COM            74005P104     35,994,598    606,378       X        28-5284    570684             35694
                                                            16,717,972    281,637       X      X 28-5284    259734      2280   19623
                                                               294,485      4,961       X        28-11135     4961
                                                               736,183     12,402       X        28-4580     12053               349
                                                               506,994      8,541       X      X 28-4580      8541

PRE PAID LEGAL SVCS INC        COM            740065107          2,610         70       X        28-5284                          70

PRECISION CASTPARTS CORP       COM            740189105      3,501,707     58,872       X        28-5284     41627             17245
                                                             1,520,309     25,560       X      X 28-5284     23995       410    1155
                                                               447,944      7,531       X        28-11135     7531
                                                                 5,948        100       X        28-4580       100

PRECISION DRILLING TR          TR UNIT        740215108         14,003      1,669       X        28-5284      1669
                                                                 9,229      1,100       X      X 28-5284      1100
               COLUMN TOTAL                                 63,339,353







                                                                                                                    FILE NO. 28-1235
PAGE 170 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PREMIER FINL BANCORP INC       COM            74050M105        710,691    101,094       X        28-1500    101094

PRESIDENTIAL LIFE CORP         COM            740884101          1,582        160       X        28-5284                         160

PRESIDENTIAL RLTY CORP NEW     CL B           741004204            161        100       X        28-5284       100

PRESSTEK INC                   COM            741113104          9,630      3,000       X      X 28-5284                3000

PRESTIGE BRANDS HLDGS INC      COM            74112D101      1,486,189    140,871       X        28-5284    140871
                                                               949,500     90,000       X      X 28-5284     90000
                                                               168,294     15,952       X        28-11135    15952
                                                                63,300      6,000       X        28-4580                        6000

PRESSURE BIOSCIENCES INC       COM            74112E109         35,690     33,990       X      X 28-5284               33990

PRICE T ROWE GROUP INC         COM            74144T108      8,118,170    229,068       X        28-5284    207058             22010
                                                            20,570,758    580,439       X      X 28-5284    539643             40796
                                                                 7,868        222       X        28-11135      222
                                                               799,881     22,570       X      X 28-4580     22570

PRICELINE COM INC              COM NEW        741503403          8,102        110       X        28-5284       110
                                                                 5,008         68       X      X 28-5284        68
                                                               166,817      2,265       X        28-11135     2265

PRIDE INTL INC DEL             COM            74153Q102          2,573        161       X        28-5284       161

PRINCIPAL FINANCIAL GROUP IN   COM            74251V102        203,062      8,997       X        28-5284      7937              1060
                                                               219,200      9,712       X      X 28-5284      3312              6400
                                                                 8,419        373       X                      373

PROCTER & GAMBLE CO            COM            742718109    512,959,487  8,297,630       X        28-5284   8047895      1050  248685
                                                           367,992,699  5,952,648       X      X 28-5284   5061197     35164  856287
                                                             1,702,832     27,545       X        28-11135    27545
                                                             6,880,319    111,296       X        28-4580    110310               986
                                                             4,333,273     70,095       X      X 28-4580     69795       300

PRIVATEBANCORP INC             COM            742962103         42,198      1,300       X      X 28-5284      1300

PROGENICS PHARMACEUTICALS IN   COM            743187106            516         50       X        28-5284        50
                                                                11,341      1,100       X      X 28-5284      1100
               COLUMN TOTAL                                927,457,560







                                                                                                                    FILE NO. 28-1235
PAGE 171 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PROGRESS ENERGY INC            COM            743263105      3,206,172     80,456       X        28-5284     74337              6119
                                                             1,796,996     45,094       X      X 28-5284     37734       950    6410
                                                               485,373     12,180       X        28-11135    12180
                                                               152,426      3,825       X        28-4580      3075               750
                                                                83,685      2,100       X      X 28-4580      2100

PROGRESS SOFTWARE CORP         COM            743312100          6,934        360       X        28-5284                         360
                                                                 1,059         55       X        28-11135       55

PROGRESSIVE CORP OHIO          COM            743315103      1,078,286     72,808       X        28-5284     53188             19620
                                                               575,413     38,853       X      X 28-5284       812      4360   33681

PROLOGIS                       SH BEN INT     743410102        466,343     33,574       X        28-5284     32574              1000
                                                               205,336     14,783       X      X 28-5284     14783
                                                                 9,237        665       X        28-11135      665

PROSHARES TR                   PSHS ULT S&P 5 74347R107        732,749     27,893       X        28-5284     27893
                                                                36,778      1,400       X      X 28-5284      1400

PROSHARES TR                   PSHS ULTRA QQQ 74347R206         48,671      1,810       X        28-5284      1810
                                                                16,134        600       X      X 28-5284       600

PROSHARES TR                   PSHS SH MSCI E 74347R370         73,762        880       X      X 28-5284       880

PROSHARES TR                   PSHS SHRT S&P5 74347R503        118,617      1,647       X        28-5284      1647
                                                               174,288      2,420       X      X 28-5284      2420

PROSHARES TR                   PSHS ULTSHT FI 74347R628        100,435        975       X        28-5284       975

PROSHARES TR                   PSHS ULTRA R/E 74347R677          6,400      1,000       X        28-5284      1000

PROSHARES TR                   PSHS ULTRA TEC 74347R693         10,750        500       X        28-5284       500

PROSHARES TR                   PSHS SHORT DOW 74347R701          6,855        100       X        28-5284       100

PROSHARES TR                   PSHS ULTRA O&G 74347R719         11,123        385       X        28-5284       385

PROSHARES TR                   PSHS ULT HLTHC 74347R735         10,929        300       X        28-5284       300

PROSHARES TR                   PSHS ULTRA FIN 74347R743         12,965      2,150       X        28-5284      2150
                                                                 1,737        288       X      X 28-5284       288
               COLUMN TOTAL                                  9,429,453







                                                                                                                    FILE NO. 28-1235
PAGE 172 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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                   PSHS ULT BASMA 74347R776         38,933      2,715       X        28-5284      2715
                                                                 5,736        400       X      X 28-5284       400

PROSHARES TR                   PSHS SHT SCAP6 74347R784         18,013        320       X      X 28-5284       320

PROSHARES TR                   PSHS SH MDCAP4 74347R800         53,375        780       X      X 28-5284       780

PROSHARES TR                   PSHS ULSHRUS20 74347R834          6,340        100       X      X 28-5284       100

PROSHARES TR                   PSHS ULTASH DW 74347R867         10,712        200       X      X 28-5284                         200

PROSHARES TR                   PSHS ULTSHRT Q 74347R875         11,470        200       X      X 28-5284       200

PROSHARES TR                   PSHS ULSHT SP5 74347R883         70,940      1,000       X        28-5284      1000
                                                                46,111        650       X      X 28-5284       650

PROSPECT CAPITAL CORPORATION   COM            74348T102          6,871        574       X      X 28-5284       574

PROTECTION ONE INC             COM NEW        743663403          4,780      1,000       X      X 28-5284                1000

PROTECTIVE LIFE CORP           COM            743674103          8,682        605       X        28-5284                         605
                                                                55,491      3,867       X      X 28-5284      1617              2250

PROVIDENT BANKSHARES CORP      COM            743859100         10,433      1,080       X        28-5284       800               280
                                                                27,145      2,810       X      X 28-5284      2810

PROVIDENT ENERGY TR            TR UNIT        74386K104         80,486     18,460       X        28-5284     18460
                                                               110,417     25,325       X      X 28-5284     25325

PROVIDENT FINL SVCS INC        COM            74386T105          1,744        114       X        28-5284       114
                                                                95,717      6,256       X      X 28-5284      6256

PROXIM WIRELESS CORP           COM            744285107        103,908    519,538       X      X 28-5284              519538

PRUDENTIAL FINL INC            COM            744320102        771,176     25,485       X        28-5284     23386              2099
                                                               335,523     11,088       X      X 28-5284      6455       333    4300
                                                                77,042      2,546       X        28-11135     2546
                                                                 8,322        275       X        28-4580       275
                                                                 5,296        175       X      X 28-4580       175

PRUDENTIAL PLC                 ADR            74435K204         17,697      1,399       X        28-5284      1399
                                                               225,271     17,808       X        28-11135    17808
               COLUMN TOTAL                                  2,207,631







                                                                                                                    FILE NO. 28-1235
PAGE 173 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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         37,319      1,340       X        28-11135     1340

PUBLIC SVC ENTERPRISE GROUP    COM            744573106      5,712,740    195,843       X        28-5284    193923              1920
                                                            23,843,470    817,397       X      X 28-5284    287377            530020
                                                               536,757     18,401       X        28-11135    18401
                                                                41,538      1,424       X        28-4580      1424
                                                               191,005      6,548       X      X 28-4580      6548

PUBLIC STORAGE                 COM            74460D109        830,219     10,443       X        28-5284      9943               500
                                                               238,023      2,994       X      X 28-5284      1241              1753

PUBLIC STORAGE                 COM A DP1/1000 74460D729         31,464      1,311       X        28-5284      1311
                                                                12,144        506       X      X 28-5284       506

PUGET ENERGY INC NEW           COM            745310102         89,200      3,271       X        28-5284      3271
                                                               132,696      4,866       X      X 28-5284      4866
                                                                 3,463        127       X        28-11135      127
                                                                13,635        500       X        28-4580       500

PULTE HOMES INC                COM            745867101        194,171     17,765       X        28-5284       566             17199
                                                                 1,344        123       X      X 28-5284       123

PURE BIOSCIENCE                COM            746218106          6,160      2,000       X        28-5284      2000

PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107         20,605      4,121       X        28-4580      4121

PUTNAM MANAGED MUN INCOM TR    COM            746823103         34,408      6,800       X        28-5284      6800
                                                                 9,710      1,919       X      X 28-5284      1919

PUTNAM PREMIER INCOME TR       SH BEN INT     746853100          3,057        790       X        28-5284       790
                                                               333,935     86,288       X      X 28-5284     16188             70100

PUTNAM MASTER INTER INCOME T   SH BEN INT     746909100          6,229      1,538       X        28-5284      1538
                                                               227,938     56,281       X      X 28-5284                       56281
                                                                 8,525      2,105       X        28-4580      2105

PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103        103,608     11,868       X        28-5284     11868
                                                                 6,548        750       X      X 28-5284       750

QLT INC                        COM            746927102         58,780     24,390       X      X 28-5284     24390
               COLUMN TOTAL                                 32,728,691







                                                                                                                    FILE NO. 28-1235
PAGE 174 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QLOGIC CORP                    COM            747277101          1,425        106       X        28-5284        96                10
                                                                 5,376        400       X      X 28-5284       400
                                                                 1,021         76       X        28-11135       76

QUAKER CHEM CORP               COM            747316107         67,281      4,090       X        28-5284      4000                90
                                                                24,675      1,500       X      X 28-5284      1500

QUALCOMM INC                   COM            747525103     36,452,654  1,017,378       X        28-5284    951516             65862
                                                            18,473,196    515,579       X      X 28-5284    417364      6177   92038
                                                               152,743      4,263       X        28-11135     4263
                                                               855,477     23,876       X        28-4580     23372               504
                                                               279,008      7,787       X      X 28-4580      7609               178

QUALSTAR CORP                  COM            74758R109        150,628     68,780       X      X 28-5284               68780

QUALITY SYS INC                COM            747582104         24,253        556       X        28-5284       556

QUANEX BUILDING PRODUCTS COR   COM            747619104            253         27       X        28-11135       27

QUANTA SVCS INC                COM            74762E102         14,276        721       X        28-5284       721

QUANTUM CORP                   COM DSSG       747906204            261        724       X        28-5284       724
                                                                    66        183       X        28-11135      183

QUATERRA RES INC               COM            747952109         11,500     25,000       X        28-5284                       25000

QUEST DIAGNOSTICS INC          COM            74834L100      1,825,986     35,176       X        28-5284     34092              1084
                                                               981,099     18,900       X      X 28-5284     16400       300    2200
                                                               528,963     10,190       X        28-11135    10190
                                                                 5,191        100       X        28-4580       100
                                                               108,180      2,084       X      X 28-4580      2084

QUESTAR CORP                   COM            748356102      1,635,808     50,040       X        28-5284     34525             15515
                                                             4,160,293    127,265       X      X 28-5284    111267             15998
                                                               205,751      6,294       X        28-11135     6294

QUICKSILVER RESOURCES INC      COM            74837R104            245         44       X        28-5284        44
                                                                19,495      3,500       X      X 28-5284      3500
                                                                   111         20       X        28-11135       20

QUIKSILVER INC                 COM            74838C106          1,840      1,000       X        28-5284                        1000
               COLUMN TOTAL                                 65,987,055







                                                                                                                    FILE NO. 28-1235
PAGE 175 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QWEST COMMUNICATIONS INTL IN   COM            749121109        108,996     29,944       X        28-5284     21944              8000
                                                               618,123    169,814       X      X 28-5284     31469            138345
                                                                   626        172       X        28-4580       172

RCN CORP                       COM NEW        749361200         49,094      8,321       X      X 28-5284                8321

RGC RES INC                    COM            74955L103         21,675        850       X      X 28-5284                         850

R H DONNELLEY CORP             COM NEW        74955W307             15         40       X      X 28-5284        40

RHI ENTMT INC DEL              COM            74957T104            918        113       X        28-5284       113

RLI CORP                       COM            749607107          9,174        150       X        28-5284                         150
                                                                 6,116        100       X      X 28-5284                         100

RPM INTL INC                   COM            749685103        525,287     39,525       X        28-5284      4325             35200
                                                               866,973     65,235       X      X 28-5284     30235             35000
                                                                18,606      1,400       X      X 28-4580      1400

RTI INTL METALS INC            COM            74973W107          4,651        325       X        28-5284       125               200

RF MICRODEVICES INC            COM            749941100            156        200       X      X 28-5284       200
                                                                   530        680       X        28-4580       680

RADIAN GROUP INC               COM            750236101          5,730      1,557       X        28-5284                        1557

RADIANT SYSTEMS INC            COM            75025N102          1,388        412       X        28-5284       212               200

RADIOSHACK CORP                COM            750438103         13,373      1,120       X        28-5284       380               740
                                                                66,864      5,600       X      X 28-5284      5600

RADISYS CORP                   COM            750459109            940        170       X        28-5284                         170

RAINIER PAC FINL GROUP INC     COM            75087U101          2,100      1,500       X        28-5284      1500

RALCORP HLDGS INC NEW          COM            751028101         97,995      1,678       X        28-5284      1678
                                                               114,814      1,966       X      X 28-5284      1952                14

RANDGOLD RES LTD               ADR            752344309          5,095        116       X        28-5284       116
               COLUMN TOTAL                                  2,539,239







                                                                                                                    FILE NO. 28-1235
PAGE 176 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RANGE RES CORP                 COM            75281A109         33,427        972       X        28-5284       972
                                                                11,108        323       X      X 28-5284       323
                                                                90,067      2,619       X        28-11135     2619
                                                                25,793        750       X      X 28-4580                         750

RAVEN INDS INC                 COM            754212108         14,822        615       X      X 28-5284       615

RAYMOND JAMES FINANCIAL INC    COM            754730109          1,182         69       X        28-5284        69
                                                                 2,432        142       X        28-11135      142

RAYONIER INC                   COM            754907103        222,804      7,107       X        28-5284      4516              2591
                                                               485,517     15,487       X      X 28-5284      4098             11389
                                                                21,381        682       X      X 28-4580       682

RAYTHEON CO                    *W EXP 06/16/2 755111119         78,399      5,045       X        28-5284      5045
                                                                 5,470        352       X      X 28-5284                         352

RAYTHEON CO                    COM NEW        755111507     16,557,631    324,405       X        28-5284    302602             21803
                                                            18,165,187    355,901       X      X 28-5284    343321      1988   10592
                                                               920,557     18,036       X        28-11135    18036
                                                               182,519      3,576       X        28-4580      3576
                                                               248,259      4,864       X      X 28-4580      3814      1050

REALTY INCOME CORP             COM            756109104         80,238      3,466       X        28-5284      3466
                                                                59,033      2,550       X      X 28-5284      1550              1000

REAVES UTIL INCOME FD          COM SH BEN INT 756158101          3,712        317       X        28-5284       317

RED HAT INC                    COM            756577102          1,150         87       X        28-5284        87
                                                                14,542      1,100       X      X 28-5284      1100

RED ROBIN GOURMET BURGERS IN   COM            75689M101            589         35       X        28-5284        35

REDDY ICE HLDGS INC            COM            75734R105            402        279       X        28-5284       279
                                                                   174        121       X      X 28-5284       121

REDWOOD TR INC                 COM            758075402          1,476         99       X        28-5284        99
                                                               175,491     11,770       X      X 28-5284      6875              4895

REED ELSEVIER N V              SPONS ADR NEW  758204200          9,258        384       X        28-5284       384
                                                               262,124     10,872       X        28-11135    10872
               COLUMN TOTAL                                 37,674,744







                                                                                                                    FILE NO. 28-1235
PAGE 177 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
REED ELSEVIER P L C            SPONS ADR NEW  758205207          3,999        134       X        28-5284       134
                                                               489,376     16,400       X      X 28-5284     16400

RENEGY HOLDINGS INC            COM            75845J109             35        107       X        28-5284       107

REGAL BELOIT CORP              COM            758750103         10,257        270       X        28-5284                         270
                                                                 3,039         80       X        28-11135       80

REGAL ENTMT GROUP              CL A           758766109         44,107      4,320       X        28-5284      1500              2820
                                                                 2,410        236       X      X 28-5284       236
                                                                10,220      1,001       X        28-11135     1001

REGENCY CTRS CORP              COM            758849103        718,713     15,390       X        28-5284     15390
                                                                54,406      1,165       X      X 28-5284      1165

REGENERON PHARMACEUTICALS      COM            75886F107         11,383        620       X        28-5284       100               520

REGENT COMMUNICATIONS INC DE   COM            758865109         63,797    716,815       X      X 28-5284              716815

REGIS CORP MINN                COM            758932107          3,647        251       X        28-5284       251
                                                                 1,235         85       X      X 28-5284                          85

REGIONS FINANCIAL CORP NEW     COM            7591EP100        892,475    112,120       X        28-5284     58126             53994
                                                               549,264     69,003       X      X 28-5284     55019             13984

REHABCARE GROUP INC            COM            759148109          2,122        140       X        28-5284                         140
                                                                   667         44       X        28-11135       44

REINSURANCE GROUP AMER INC     COM NEW        759351604          8,607        201       X        28-5284       201
                                                                   642         15       X      X 28-5284        15
                                                                20,083        469       X        28-11135      469

RELIANT ENERGY INC             COM            75952B105         10,930      1,891       X        28-5284      1891
                                                                35,720      6,180       X      X 28-5284      5550               630
                                                                   907        157       X        28-11135      157

RENESOLA LTD                   SPONS ADS      75971T103          5,733      1,300       X      X 28-5284      1300

RENTECH INC                    COM            760112102          1,360      2,000       X        28-5284      2000
               COLUMN TOTAL                                  2,945,134







                                                                                                                    FILE NO. 28-1235
PAGE 178 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
REPSOL YPF S A                 SPONSORED ADR  76026T205         12,218        568       X        28-5284       568
                                                                10,863        505       X      X 28-5284       505
                                                                99,935      4,646       X        28-11135     4646

REPUBLIC FIRST BANCORP INC     COM            760416107         10,560      1,200       X        28-5284      1200

REPUBLIC SVCS INC              COM            760759100         92,963      3,750       X        28-5284      2630              1120
                                                                27,864      1,124       X      X 28-5284      1124

RES-CARE INC                   COM            760943100        814,084     54,200       X        28-5284     54200

RESEARCH IN MOTION LTD         COM            760975102        156,314      3,852       X        28-5284      3852
                                                               133,833      3,298       X      X 28-5284      3298
                                                               116,018      2,859       X        28-11135     2859

RESMED INC                     COM            761152107        854,544     22,800       X        28-5284     22800
                                                               478,807     12,775       X      X 28-5284      3650              9125

RESOURCE AMERICA INC           CL A           761195205          5,964      1,491       X      X 28-5284      1491

RETRACTABLE TECHNOLOGIES INC   COM            76129W105        640,390    753,400       X      X 28-5284              753400

REYNOLDS AMERICAN INC          COM            761713106        384,517      9,539       X        28-5284      8099              1440
                                                               104,242      2,586       X      X 28-5284      2586
                                                                 2,902         72       X        28-4580        72

RICKS CABARET INTL INC         COM NEW        765641303            798        200       X      X 28-5284       200

RIGHTNOW TECHNOLOGIES INC      COM            76657R106          5,218        675       X        28-5284       675

RIO TINTO PLC                  SPONSORED ADR  767204100         39,565        445       X        28-5284       445
                                                               507,232      5,705       X      X 28-5284      1361              4344
                                                                   445          5       X        28-4580         5

RITCHIE BROS AUCTIONEERS       COM            767744105          8,718        407       X        28-5284        65               342
                                                                 6,426        300       X      X 28-5284       300

RITE AID CORP                  COM            767754104          3,227     10,410       X        28-5284      9410              1000
                                                                 1,984      6,400       X      X 28-5284      5800               600

RIVERBED TECHNOLOGY INC        COM            768573107          9,112        800       X      X 28-5284       800

RIVUS BOND FUND                COM            769667106         30,870      2,100       X      X 28-5284                        2100
               COLUMN TOTAL                                  4,559,613







                                                                                                                    FILE NO. 28-1235
PAGE 179 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ROBBINS & MYERS INC            COM            770196103          4,689        290       X        28-5284                         290
                                                                   259         16       X      X 28-5284        16

ROBERT HALF INTL INC           COM            770323103         12,221        587       X        28-5284       587
                                                                68,706      3,300       X      X 28-5284                        3300

ROCKWELL AUTOMATION INC        COM            773903109        517,226     16,043       X        28-5284     15364               679
                                                               669,109     20,754       X      X 28-5284     20754
                                                                 8,060        250       X      X 28-4580       250

ROCKWELL COLLINS INC           COM            774341101      1,535,651     39,285       X        28-5284     38472               813
                                                             1,451,685     37,137       X      X 28-5284     31687       100    5350

ROGERS COMMUNICATIONS INC      CL B           775109200        342,160     11,375       X        28-5284     10555               820
                                                                35,194      1,170       X      X 28-5284      1170

ROGERS CORP                    COM            775133101          4,443        160       X        28-5284                         160

ROHM & HAAS CO                 COM            775371107      3,132,691     50,699       X        28-5284     48949              1750
                                                             5,551,214     89,840       X      X 28-5284     82900              6940
                                                                 4,572         74       X        28-11135       74
                                                               284,481      4,604       X      X 28-4580      4604

ROLLINS INC                    COM            775711104         20,955      1,159       X        28-5284      1159
                                                                67,113      3,712       X      X 28-5284      3712

ROPER INDS INC NEW             COM            776696106        520,920     12,000       X        28-5284     12000
                                                             1,316,408     30,325       X      X 28-5284     24350              5975
                                                                13,197        304       X        28-11135      304
                                                                79,353      1,828       X      X 28-4580      1828

ROSS STORES INC                COM            778296103     23,092,569    776,743       X        28-5284    730041             46702
                                                             6,019,820    202,483       X      X 28-5284    187687      5901    8895
                                                                50,660      1,704       X        28-11135     1704
                                                               440,985     14,833       X        28-4580     14745                88
                                                               181,948      6,120       X      X 28-4580      6120

ROWAN COS INC                  COM            779382100         16,361      1,029       X        28-5284      1029
                                                                   254         16       X        28-11135       16

ROYAL BANCSHARES PA INC        CL A           780081105            823        247       X      X 28-5284       247
               COLUMN TOTAL                                 45,443,727







                                                                                                                    FILE NO. 28-1235
PAGE 180 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 CDA MONTREAL QUE      COM            780087102             59          2       X        28-5284         2
                                                               194,273      6,550       X      X 28-5284      2500              4050

ROYAL BK SCOTLAND GROUP PLC    SPONS ADR 20 O 780097689          4,323        285       X        28-5284       285
                                                                   258         17       X      X 28-5284        17

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF T  780097713        110,534     10,890       X        28-5284     10890
                                                                10,150      1,000       X      X 28-5284      1000

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF S  780097739         14,112      1,600       X        28-5284      1600
                                                               181,886     20,622       X      X 28-5284     20622

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS R 780097747          7,970      1,000       X        28-5284      1000

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS Q 780097754         15,031      1,710       X        28-5284      1710
                                                                14,064      1,600       X      X 28-5284      1600

ROYAL BK SCOTLAND GROUP PLC    ADR PFD SER P  780097762         10,881      1,300       X        28-5284      1300
                                                                30,132      3,600       X      X 28-5284      3600

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SER N 780097770         25,480      2,800       X        28-5284      2800
                                                                21,840      2,400       X      X 28-5284      2400

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796          2,658        300       X        28-5284       300
                                                                26,580      3,000       X      X 28-5284      3000

ROYAL BK SCOTLAND GROUP PLC    SPON ADR F     780097804          5,095        500       X        28-5284       500
                                                                 3,057        300       X      X 28-5284       300

ROYAL BK SCOTLAND GROUP PLC    SPON ADR SER H 780097879         16,235      1,700       X        28-5284       700              1000
                                                                 9,550      1,000       X      X 28-5284      1000

ROYAL DUTCH SHELL PLC          SPON ADR B     780259107        223,566      4,347       X        28-5284      3830               517
                                                             1,895,093     36,848       X      X 28-5284     36748               100
                                                                 1,029         20       X        28-11135       20
                                                                79,768      1,551       X        28-4580      1551

ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206     21,651,242    408,977       X        28-5284    401237              7740
                                                            27,628,592    521,885       X      X 28-5284    497571       800   23514
                                                               123,138      2,326       X        28-11135     2326
                                                               529,188      9,996       X        28-4580      9596               400
                                                               442,790      8,364       X      X 28-4580      8364
               COLUMN TOTAL                                 53,278,574







                                                                                                                    FILE NO. 28-1235
PAGE 181 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 GOLD INC                 COM            780287108         37,941        771       X        28-5284       771

ROYCE VALUE TR INC             COM            780910105         74,898      8,927       X        28-5284      6651              2276

RUBY TUESDAY INC               COM            781182100            938        601       X        28-5284       601
                                                                 7,516      4,818       X      X 28-5284      4818

RUDDICK CORP                   COM            781258108          9,622        348       X        28-11135      348

RUDOLPH TECHNOLOGIES INC       COM            781270103            812        230       X        28-5284                         230

RUSS BERRIE & CO               COM            782233100            386        130       X        28-5284                         130

RYANAIR HLDGS PLC              SPONSORED ADR  783513104         11,399        392       X        28-5284       392

RYDER SYS INC                  COM            783549108         38,625        996       X        28-5284       996
                                                                 1,125         29       X      X 28-5284        29

RYDEX ETF TRUST                S&P MIDCAP 2X  78355W759         42,237      1,850       X        28-5284      1850

RYLAND GROUP INC               COM            783764103         56,597      3,203       X        28-5284        25              3178
                                                                 3,940        223       X      X 28-5284       223

S & T BANCORP INC              COM            783859101        177,962      5,013       X        28-5284      5013
                                                                19,525        550       X      X 28-5284       150               400

SBA COMMUNICATIONS CORP        COM            78388J106          5,141        315       X        28-5284        35               280

SAIC INC                       COM            78390X101         15,818        812       X        28-5284       812
                                                                89,608      4,600       X      X 28-5284       100              4500

SEI INVESTMENTS CO             COM            784117103        358,424     22,815       X        28-5284     22815
                                                               160,242     10,200       X      X 28-5284     10200

SJW CORP                       COM            784305104         41,916      1,400       X      X 28-5284      1400

SK TELECOM LTD                 SPONSORED ADR  78440P108          7,545        415       X        28-5284       415

SL GREEN RLTY CORP             COM            78440X101        413,416     15,962       X        28-5284     15902                60
                                                               376,949     14,554       X      X 28-5284     14554
                                                                   777         30       X        28-11135       30
               COLUMN TOTAL                                  1,953,359







                                                                                                                    FILE NO. 28-1235
PAGE 182 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SLM CORP                       COM            78442P106        491,253     55,197       X        28-5284     11597             43600
                                                               186,500     20,955       X      X 28-5284       555             20400

SPDR TR                        UNIT SER 1     78462F103    301,133,136  3,337,025       X        28-5284   3236232       780  100013
                                                           154,243,713  1,709,261       X      X 28-5284   1605163       882  103216
                                                             1,521,176     16,857       X        28-11135    16857
                                                            10,303,062    114,174       X        28-4580    113274               900
                                                             1,051,567     11,653       X      X 28-4580     11653

SPSS INC                       COM            78462K102          4,314        160       X        28-5284                         160
                                                                 1,429         53       X        28-11135       53

SPDR GOLD TRUST                GOLD SHS       78463V107     15,297,861    176,813       X        28-5284    171268              5545
                                                             1,825,226     21,096       X      X 28-5284     19047       256    1793
                                                                 9,950        115       X        28-11135      115
                                                             2,181,775     25,217       X        28-4580     24217              1000
                                                             2,220,968     25,670       X      X 28-4580     25670

SPDR INDEX SHS FDS             EMERG MKTS ETF 78463X509        113,003      3,011       X        28-5284      3011
                                                                 7,656        204       X      X 28-5284       204

SPDR INDEX SHS FDS             MIDEAST AFRICA 78463X806         12,823        300       X        28-5284       300

SPDR INDEX SHS FDS             RUSS NOM SC JP 78463X822        525,960     14,400       X        28-4580     14400

SPDR INDEX SHS FDS             RUSS NOMURA PR 78463X830      1,060,530     29,000       X        28-4580     29000

SPDR INDEX SHS FDS             MSCI ACWI EXUS 78463X848      2,557,551    109,672       X        28-5284    109672
                                                                27,867      1,195       X      X 28-5284      1195

SPDR INDEX SHS FDS             DJWS INTL REAL 78463X863         12,728        470       X        28-5284       470
                                                                14,217        525       X      X 28-5284       525
                                                                 6,364        235       X        28-11135      235

SPDR INDEX SHS FDS             S&P WRLD EX US 78463X889         11,125        593       X        28-11135      593

SPX CORP                       COM            784635104      2,705,374     66,717       X        28-5284     61298              5419
                                                             1,876,492     46,276       X      X 28-5284     45031       240    1005
                                                                54,094      1,334       X        28-4580      1334
                                                                25,425        627       X      X 28-4580       627
               COLUMN TOTAL                                499,483,139







                                                                                                                    FILE NO. 28-1235
PAGE 183 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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              MORGAN TECH ET 78464A102      1,646,850     48,551       X        28-5284     47682               869
                                                               190,088      5,604       X      X 28-5284      5404       200
                                                                55,256      1,629       X        28-4580      1629
                                                                 6,343        187       X      X 28-4580       187

SPDR SERIES TRUST              DJWS SMCAP VL  78464A300         27,172        641       X      X 28-5284       641

SPDR SERIES TRUST              LEHMAN YLD ETF 78464A417          9,069        280       X      X 28-5284       280

SPDR SERIES TRUST              LEHMN INTL ETF 78464A516         42,867        788       X        28-5284       788
                                                             1,686,400     31,000       X      X 28-5284     31000

SPDR SERIES TRUST              DJ WLSH REIT E 78464A607      4,682,350    115,528       X        28-5284    109778              5750
                                                             1,224,411     30,210       X      X 28-5284     25330              4880
                                                               719,853     17,761       X        28-11135    17761

SPDR SERIES TRUST              KBW REGN BK ET 78464A698        918,394     31,495       X        28-5284     31495
                                                                32,659      1,120       X      X 28-5284      1120

SPDR SERIES TRUST              S&P OILGAS EXP 78464A730         38,888      1,312       X      X 28-5284                        1312

SPDR SERIES TRUST              S&P METALS MNG 78464A755          5,550        200       X        28-5284       200

SPDR SERIES TRUST              SPDR KBW BK ET 78464A797          7,571        344       X        28-5284       344

SPDR SERIES TRUST              S&P BIOTECH    78464A870         21,448        400       X      X 28-5284                         400

SPDR SERIES TRUST              S&P HOMEBUILD  78464A888         11,980      1,000       X      X 28-5284      1000

SRA INTL INC                   CL A           78464R105            776         45       X        28-5284        45
                                                                17,250      1,000       X      X 28-5284                        1000

SVB FINL GROUP                 COM            78486Q101          1,102         42       X        28-5284        42

SWS GROUP INC                  COM            78503N107          4,359        230       X        28-5284                         230

S Y BANCORP INC                COM            785060104        132,633      4,823       X        28-5284      4823
                                                                35,063      1,275       X      X 28-5284      1275

SABINE ROYALTY TR              UNIT BEN INT   785688102         12,288        300       X      X 28-5284       300
               COLUMN TOTAL                                 11,530,620







                                                                                                                    FILE NO. 28-1235
PAGE 184 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SAFEGUARD SCIENTIFICS INC      COM            786449108          3,741      5,422       X        28-5284      5422
                                                               251,229    364,100       X      X 28-5284    364100
                                                                20,700     30,000       X        28-4580                       30000

SAFETY INS GROUP INC           COM            78648T100         11,418        300       X      X 28-5284       300

SAFEWAY INC                    COM NEW        786514208        211,910      8,915       X        28-5284      6255              2660
                                                                58,831      2,475       X      X 28-5284      2475
                                                               503,639     21,188       X        28-11135    21188

SAGA COMMUNICATIONS            CL A           786598102            104         63       X        28-11135       63

SAIA INC                       COM            78709Y105            815         75       X      X 28-5284        75

ST JOE CO                      COM            790148100          1,386         57       X        28-5284        57
                                                               342,912     14,100       X      X 28-5284      5100              9000

ST JUDE MED INC                COM            790849103     20,449,538    620,435       X        28-5284    584242             36193
                                                             6,162,432    186,967       X      X 28-5284    170446      3885   12636
                                                               249,738      7,577       X        28-11135     7577
                                                               290,674      8,819       X        28-4580      8709               110
                                                               152,868      4,638       X      X 28-4580      4638

ST MARY LD & EXPL CO           COM            792228108         24,575      1,210       X        28-5284       700               510
                                                               269,108     13,250       X      X 28-5284     10250              3000
                                                                23,438      1,154       X        28-11135     1154

SAKS INC                       COM            79377W108          9,636      2,200       X        28-5284      2200
                                                                 2,190        500       X      X 28-5284                         500

SALESFORCE COM INC             COM            79466L302        491,321     15,349       X        28-5284     14224              1125
                                                                37,612      1,175       X      X 28-5284       975               200

SALLY BEAUTY HLDGS INC         COM            79546E104        181,613     31,918       X        28-11135    31918

SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105         83,712      2,703       X        28-5284      2703
                                                               262,037      8,461       X      X 28-5284      8461

SANDISK CORP                   COM            80004C101        341,549     35,578       X        28-5284     31684              3894
                                                                29,770      3,101       X      X 28-5284      3101

SANDY SPRING BANCORP INC       COM            800363103         24,974      1,144       X        28-5284      1144
                                                                89,503      4,100       X      X 28-5284      4100
               COLUMN TOTAL                                 30,582,973







                                                                                                                    FILE NO. 28-1235
PAGE 185 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SANGAMO BIOSCIENCES INC        COM            800677106            348        100       X        28-5284       100

SANMINA SCI CORP               COM            800907107            480      1,021       X        28-5284      1021

SANOFI AVENTIS                 SPONSORED ADR  80105N105        143,337      4,457       X        28-5284      4357               100
                                                               214,153      6,659       X      X 28-5284      4024              2635
                                                               400,714     12,460       X        28-11135    12460
                                                                 3,055         95       X        28-4580        95

SANTOS LIMITED                 SPONSORED ADR  803021609          6,372        144       X        28-5284       144

SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204        264,587      7,305       X        28-5284      7305
                                                               469,556     12,964       X      X 28-5284      1832      1600    9532

SARA LEE CORP                  COM            803111103      2,576,415    263,168       X        28-5284    254424              8744
                                                             2,307,885    235,739       X      X 28-5284    228496              7243
                                                                   490         50       X        28-4580        50
                                                                 5,394        551       X      X 28-4580       551

SASOL LTD                      SPONSORED ADR  803866300         83,589      2,756       X        28-5284      2756
                                                                   546         18       X      X 28-5284        18
                                                                 5,186        171       X        28-11135      171
                                                                 3,033        100       X      X 28-4580       100

SATCON TECHNOLOGY CORP         COM            803893106            465        300       X      X 28-4580       300

SATYAM COMPUTER SERVICES LTD   ADR            804098101         44,929      4,970       X        28-5284      4970
                                                                10,848      1,200       X      X 28-5284      1200

SAUL CTRS INC                  COM            804395101        213,419      5,403       X        28-5284      5403
                                                                43,450      1,100       X      X 28-5284      1100

SAVVIS INC                     COM NEW        805423308            220         32       X        28-5284        32

SCANA CORP NEW                 COM            80589M102        149,627      4,203       X        28-5284      4203
                                                               249,164      6,999       X      X 28-5284      6999
                                                                 5,910        166       X        28-11135      166

SCHEIN HENRY INC               COM            806407102        105,520      2,876       X        28-5284      2876
                                                                    73          2       X        28-11135        2
                                                                24,949        680       X      X 28-4580       680
               COLUMN TOTAL                                  7,333,714







                                                                                                                    FILE NO. 28-1235
PAGE 186 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SCHERING PLOUGH CORP           COM            806605101      8,578,556    503,732       X        28-5284    472252             31480
                                                             9,319,395    547,234       X      X 28-5284    499308             47926
                                                               810,083     47,568       X        28-11135    47568
                                                                40,872      2,400       X        28-4580      2400
                                                               124,319      7,300       X      X 28-4580      7300

SCHERING PLOUGH CORP           PFD CONV MAN07 806605705         36,540        210       X        28-5284       210
                                                                27,840        160       X      X 28-5284       160

SCHLUMBERGER LTD               COM            806857108     48,018,983  1,134,396       X        28-5284   1063312             71084
                                                            43,453,692  1,026,546       X      X 28-5284    889177      5368  132001
                                                               369,033      8,718       X        28-11135     8718
                                                             1,157,472     27,344       X        28-4580     26937               407
                                                               343,339      8,111       X      X 28-4580      7829       282

SCHNITZER STL INDS             CL A           806882106         18,825        500       X        28-5284       500
                                                                 3,765        100       X      X 28-5284       100

SCHOOL SPECIALTY INC           COM            807863105          2,868        150       X        28-5284                         150
                                                                   363         19       X        28-11135       19

SCHWAB CHARLES CORP NEW        COM            808513105      2,253,435    139,359       X        28-5284    132936              6423
                                                               811,346     50,176       X      X 28-5284     41676              8500
                                                                60,751      3,757       X        28-11135     3757
                                                                18,337      1,134       X        28-4580      1134

SCIENTIFIC GAMES CORP          CL A           80874P109          8,770        500       X        28-5284       500

SCOTTS MIRACLE GRO CO          CL A           810186106         62,412      2,100       X      X 28-5284      2100

SCRIPPS E W CO OHIO            CL A NEW       811054402         11,912      5,390       X        28-5284      1324              4066
                                                                29,886     13,523       X      X 28-5284     11519              2004
                                                                    13          6       X        28-11135        6

SCRIPPS NETWORKS INTERACT IN   CL A COM       811065101        317,350     14,425       X        28-5284      2225             12200
                                                               907,808     41,264       X      X 28-5284     34560              6704
                                                               104,456      4,748       X        28-11135     4748

SEACOAST BKG CORP FLA          COM            811707306          5,729        868       X        28-5284       868
                                                                74,164     11,237       X      X 28-5284      2657              8580

SEACOR HOLDINGS INC            COM            811904101         11,997        180       X        28-5284                         180
                                                                   667         10       X      X 28-5284        10
               COLUMN TOTAL                                116,984,978







                                                                                                                    FILE NO. 28-1235
PAGE 187 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SEALED AIR CORP NEW            COM            81211K100        593,940     39,755       X        28-5284     37405              2350
                                                               262,690     17,583       X      X 28-5284     15893              1690

SEARS HLDGS CORP               COM            812350106         66,351      1,707       X        28-5284      1336               371
                                                                74,397      1,914       X      X 28-5284      1837                77
                                                                   155          4       X        28-11135        4

SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100        151,448      6,660       X        28-5284      6660
                                                               356,381     15,672       X      X 28-5284     15672
                                                               558,131     24,544       X        28-11439    24544

SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209        155,397      5,853       X        28-5284      5853
                                                               751,153     28,292       X      X 28-5284     28292
                                                                 3,983        150       X      X 28-4580       150

SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308        103,071      4,318       X        28-5284      4318
                                                             1,773,875     74,314       X      X 28-5284     74314
                                                               154,152      6,458       X      X 28-4580      6458

SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407      1,056,628     48,986       X        28-5284     48986
                                                               201,464      9,340       X      X 28-5284      9340

SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506      9,277,651    194,215       X        28-5284    194040               175
                                                             4,488,183     93,954       X      X 28-5284     84632              9322
                                                               408,959      8,561       X        28-4580      8561
                                                                 9,554        200       X      X 28-4580       200

SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605      4,844,376    386,931       X        28-5284    374495             12436
                                                             2,857,327    228,221       X      X 28-5284    216705             11516
                                                               168,206     13,435       X        28-4580     13435

SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704         99,839      4,263       X        28-5284      4263
                                                             1,102,520     47,076       X      X 28-5284     47076
                                                                15,223        650       X      X 28-4580       650

SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803      4,422,069    286,961       X        28-5284    286961
                                                             5,185,542    336,505       X      X 28-5284    329622              6883
                                                               120,198      7,800       X        28-4580      7800
                                                               149,123      9,677       X      X 28-4580      9677

SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886      1,375,906     47,396       X        28-5284     43796              3600
                                                             2,938,475    101,222       X      X 28-5284     90547             10675
                                                                43,545      1,500       X      X 28-4580      1500
               COLUMN TOTAL                                 43,769,912







                                                                                                                    FILE NO. 28-1235
PAGE 188 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SELECTICA INC                  COM            816288104      1,734,094  2,064,398       X      X 28-5284             2064398

SELECTIVE INS GROUP INC        COM            816300107        379,033     16,530       X        28-5284     16100               430
                                                               261,402     11,400       X      X 28-5284     11400

SEMTECH CORP                   COM            816850101         13,749      1,220       X        28-5284      1220
                                                                61,422      5,450       X      X 28-5284      5450
                                                               152,032     13,490       X        28-11135    13490

SEMPRA ENERGY                  COM            816851109        169,582      3,978       X        28-5284      3728               250
                                                             1,072,145     25,150       X      X 28-5284     23836              1314
                                                                 3,112         73       X        28-11135       73
                                                                63,945      1,500       X        28-4580                        1500
                                                                10,700        251       X      X 28-4580       251

SEMITOOL INC                   COM            816909105            915        300       X      X 28-5284       300

SENIOR HSG PPTYS TR            SH BEN INT     81721M109          9,139        510       X        28-5284       510
                                                               409,114     22,830       X      X 28-5284     22530               300

SENSIENT TECHNOLOGIES CORP     COM            81725T100          1,075         45       X        28-5284        45
                                                                11,940        500       X      X 28-5284                         500
                                                                42,936      1,798       X        28-11135     1798

SEPRACOR INC                   COM            817315104          7,477        681       X        28-5284       681

SERVICE CORP INTL              COM            817565104            721        145       X        28-5284       145
                                                                 4,413        888       X      X 28-5284       888
                                                                 8,991      1,809       X        28-11135     1809

SHANDA INTERACTIVE ENTMT LTD   SPONSORED ADR  81941Q203      1,161,724     35,900       X      X 28-5284     35900

SHAW COMMUNICATIONS INC        CL B CONV      82028K200          9,600        543       X        28-11135      543

SHAW GROUP INC                 COM            820280105         66,528      3,250       X        28-5284      3250
                                                                66,528      3,250       X      X 28-5284      3250

SHERWIN WILLIAMS CO            COM            824348106        235,415      3,940       X        28-5284      3940
                                                             2,966,588     49,650       X      X 28-5284     49650
                                                                 1,673         28       X        28-11135       28
                                                               101,575      1,700       X        28-4580      1700
                                                                59,750      1,000       X      X 28-4580      1000
               COLUMN TOTAL                                  9,087,318







                                                                                                                    FILE NO. 28-1235
PAGE 189 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SHILOH INDS INC                COM            824543102            900        300       X      X 28-5284       300

SHIRE PLC                      SPONSORED ADR  82481R106         57,184      1,277       X        28-5284      1277
                                                                21,271        475       X      X 28-5284       200               275
                                                                59,289      1,324       X        28-11135     1324

SHORE BANCSHARES INC           COM            825107105      3,118,508    129,992       X      X 28-5284    129992

SIEMENS A G                    SPONSORED ADR  826197501        239,673      3,164       X        28-5284      3164
                                                                56,813        750       X      X 28-5284       350               400
                                                                 1,515         20       X        28-11135       20

SIERRA BANCORP                 COM            82620P102          4,200        200       X      X 28-5284       200

SIGMA ALDRICH CORP             COM            826552101        501,431     11,871       X        28-5284     11871
                                                             1,501,632     35,550       X      X 28-5284     17200             18350
                                                                21,120        500       X      X 28-4580       500

SILICON LABORATORIES INC       COM            826919102         27,902      1,126       X        28-5284      1126

SILGAN HOLDINGS INC            COM            827048109         20,510        429       X        28-11135      429

SILICON IMAGE INC              COM            82705T102            680        162       X        28-5284       162

SILICON STORAGE TECHNOLOGY I   COM            827057100            687        300       X        28-5284       300
                                                             4,470,126  1,952,020       X      X 28-5284             1952020

SILICONWARE PRECISION INDS L   SPONSD ADR SPL 827084864             54         12       X      X 28-5284        12

SILVER STD RES INC             COM            82823L106         12,035        755       X      X 28-5284       755

SILVER WHEATON CORP            COM            828336107         18,497      2,850       X        28-5284      2850
                                                                66,847     10,300       X      X 28-5284     10300

SIMON PPTY GROUP INC NEW       COM            828806109      2,538,764     47,784       X        28-5284     42464              5320
                                                             1,207,114     22,720       X      X 28-5284     21920               800
                                                                29,222        550       X        28-4580       550
                                                                92,978      1,750       X      X 28-4580      1750

SIMON PPTY GROUP INC NEW       PFD CONV I 6%  828806802     12,783,107    299,160       X        28-11439   299160

SIMPSON MANUFACTURING CO INC   COM            829073105         15,407        555       X        28-5284       245               310
                                                               320,295     11,538       X        28-11135    11538
               COLUMN TOTAL                                 27,187,761







                                                                                                                    FILE NO. 28-1235
PAGE 190 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SINCLAIR BROADCAST GROUP INC   CL A           829226109        629,238    202,980       X        28-5284      2980            200000
                                                                 1,240        400       X      X 28-5284       300               100

SINOPEC SHANGHAI PETROCHEMIC   SPON ADR H     82935M109          1,125         43       X        28-5284        43

SIRIUS SATELLITE RADIO INC     NOTE  3.250%10 82966UAD5      1,463,946      6,500       X        28-11439     6500

SIRF TECHNOLOGY HLDGS INC      COM            82967H101            768        600       X      X 28-5284       600

SIRIUS XM RADIO INC            COM            82967N108        325,909  2,715,911       X        28-5284   2715911
                                                                   589      4,910       X      X 28-5284      4910
                                                                     2         18       X        28-4580        18

SIX FLAGS INC                  COM            83001P109            930      3,000       X        28-5284      3000

SKYLINE CORP                   COM            830830105          1,399         70       X        28-5284                          70

SKYWEST INC                    COM            830879102          8,928        480       X        28-5284                         480

SKYWORKS SOLUTIONS INC         COM            83088M102          1,036        187       X        28-5284       187
                                                                 1,939        350       X      X 28-5284       280                70
                                                                35,534      6,414       X        28-11135     6414

SKILLSOFT PLC                  SPONSORED ADR  830928107          7,290      1,021       X        28-5284      1021

SMART BALANCE INC              COM            83169Y108         18,360      2,700       X      X 28-5284      2500               200

SMITH & NEPHEW PLC             SPDN ADR NEW   83175M205          8,043        249       X        28-5284       249
                                                                 2,455         76       X        28-11135       76

SMITH A O                      COM            831865209          5,904        200       X        28-5284                         200
                                                                17,712        600       X      X 28-5284                         600

SMITH INTL INC                 COM            832110100      2,084,981     91,087       X        28-5284     90192               895
                                                             2,274,900     99,384       X      X 28-5284     84549      3150   11685
                                                                 1,076         47       X        28-11135       47
                                                                18,312        800       X        28-4580       800
                                                                10,507        459       X      X 28-4580       459

SMITHFIELD FOODS INC           COM            832248108          3,250        231       X        28-5284       231
                                                                 2,842        202       X      X 28-5284       202
               COLUMN TOTAL                                  6,928,215







                                                                                                                    FILE NO. 28-1235
PAGE 191 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SMUCKER J M CO                 COM NEW        832696405      2,337,754     53,915       X        28-5284     48132              5783
                                                             1,883,212     43,432       X      X 28-5284     37542        12    5878
                                                                86,720      2,000       X      X 28-4580      2000

SMURFIT-STONE CONTAINER CORP   COM            832727101             32        127       X        28-5284       127

SNAP ON INC                    COM            833034101         70,293      1,785       X        28-5284      1780                 5
                                                                21,777        553       X      X 28-5284       553
                                                                 4,371        111       X        28-11135      111

SOAPSTONE NETWORKS INC         COM            833570104        206,400     80,000       X      X 28-5284               80000

SOHU COM INC                   COM            83408W103         19,267        407       X        28-5284       327                80

SOLARFUN POWER HOLDINGS CO L   SPONSORED ADR  83415U108          5,010      1,000       X      X 28-5284      1000

SOMAXON PHARMACEUTICALS INC    COM            834453102          1,380      1,000       X        28-5284      1000

SONIC INNOVATIONS INC          COM            83545M109          1,000      1,000       X        28-5284      1000

SONIC CORP                     COM            835451105        284,900     23,410       X        28-5284     20785              2625
                                                                34,173      2,808       X      X 28-5284      2808
                                                                   584         48       X        28-11135       48

SONOCO PRODS CO                COM            835495102        704,365     30,413       X        28-5284     28193              2220
                                                               353,954     15,283       X      X 28-5284     14683               600

SONOSITE INC                   COM            83568G104            878         46       X      X 28-5284        46

SONY CORP                      ADR NEW        835699307         60,820      2,781       X        28-5284      2631               150
                                                               242,429     11,085       X      X 28-5284     10135               950
                                                                 3,762        172       X        28-11135      172

SOTHEBYS                       COM            835898107         16,002      1,800       X        28-5284      1800
                                                                   889        100       X      X 28-5284       100
                                                               141,075     15,869       X        28-11135    15869

SONUS NETWORKS INC             COM            835916107            455        288       X        28-5284       288
                                                                39,500     25,000       X      X 28-5284     25000

SOURCE CAP INC                 COM            836144105         16,493        583       X        28-5284       583
               COLUMN TOTAL                                  6,537,495







                                                                                                                    FILE NO. 28-1235
PAGE 192 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SOUTH FINL GROUP INC           COM            837841105          2,506        580       X        28-5284                         580
                                                                   190         44       X        28-11135       44

SOUTH JERSEY INDS INC          COM            838518108      2,010,512     50,452       X        28-5284     50452
                                                             1,195,500     30,000       X      X 28-5284                       30000

SOUTHCOAST FINANCIAL CORP      COM            84129R100         45,980     11,000       X      X 28-5284     11000

SOUTHERN CO                    COM            842587107     40,075,625  1,083,125       X        28-5284   1010726             72399
                                                            21,890,125    591,625       X      X 28-5284    509204      6304   76117
                                                               189,329      5,117       X        28-11135     5117
                                                               738,890     19,970       X        28-4580     19770               200
                                                               294,446      7,958       X      X 28-4580      4458              3500

SOUTHERN COPPER CORP           COM            84265V105         95,814      5,966       X        28-5284      4366              1600
                                                               308,352     19,200       X      X 28-5284     19200

SOUTHERN NATL BANCORP OF VA    COM            843395104         72,973     12,285       X        28-5284     12285

SOUTHERN UN CO NEW             COM            844030106        291,288     22,338       X        28-5284     21991               347
                                                                76,714      5,883       X      X 28-5284      1183              4700

SOUTHWEST AIRLS CO             COM            844741108         81,950      9,507       X        28-5284      8642               865
                                                               455,722     52,868       X      X 28-5284     49318              3550
                                                                16,507      1,915       X      X 28-4580      1915

SOUTHWEST BANCORP INC OKLA     COM            844767103        159,291     12,291       X        28-11135    12291

SOUTHWEST GAS CORP             COM            844895102         91,473      3,627       X        28-5284      3277               350
                                                               100,880      4,000       X      X 28-5284                        4000
                                                                 5,044        200       X        28-4580       200

SOUTHWEST WTR CO               COM            845331107         21,593      6,706       X      X 28-5284      6706

SOUTHWESTERN ENERGY CO         COM            845467109        129,380      4,466       X        28-5284      3446              1020
                                                             1,099,122     37,940       X      X 28-5284     37940
                                                                 2,347         81       X        28-11135       81
                                                               695,280     24,000       X      X 28-4580     24000

SOVEREIGN BANCORP INC          COM            845905108        231,695     77,750       X        28-5284     76085              1665
                                                                23,384      7,847       X      X 28-5284      7847
               COLUMN TOTAL                                 70,401,912







                                                                                                                    FILE NO. 28-1235
PAGE 193 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SOVRAN SELF STORAGE INC        COM            84610H108         76,680      2,130       X        28-5284      2130
                                                                72,000      2,000       X      X 28-5284      2000

SPACEHAB INC                   COM NEW        846243400         30,661    117,926       X      X 28-5284              117926

SPARTAN STORES INC             COM            846822104         48,058      2,067       X        28-11135     2067

SPARTECH CORP                  COM NEW        847220209            864        138       X        28-5284       138

SPECTRA ENERGY CORP            COM            847560109      1,691,436    107,461       X        28-5284    105126              2335
                                                             1,994,227    126,698       X      X 28-5284    103948             22750
                                                                   960         61       X        28-11135       61
                                                                14,166        900       X        28-4580       900
                                                                38,642      2,455       X      X 28-4580      2455

SPECTRUM CTL INC               COM            847615101          6,140      1,000       X        28-5284      1000

SPECTRUM PHARMACEUTICALS INC   COM            84763A108        220,323    147,868       X      X 28-5284              147868

SPHERIX INC                    COM            84842R106         51,060    111,000       X        28-5284    111000

SPHERION CORP                  COM            848420105            796        360       X        28-5284                         360

SPIRIT AEROSYSTEMS HLDGS INC   COM CL A       848574109            458         45       X        28-5284        45
                                                               508,968     50,046       X      X 28-5284     50046

SPRINT NEXTEL CORP             COM SER 1      852061100        326,198    178,250       X        28-5284    156821             21429
                                                               249,491    136,334       X      X 28-5284    120822      4026   11486
                                                                   514        281       X        28-11135      281

STAAR SURGICAL CO              COM PAR $0.01  852312305         12,269      5,155       X        28-5284      5155

STAMPS COM INC                 COM NEW        852857200      4,390,176    446,610       X      X 28-5284              446610

STANCORP FINL GROUP INC        COM            852891100         74,894      1,793       X        28-5284       118              1675
                                                                   668         16       X      X 28-5284        16
                                                                 5,138        123       X        28-11135      123

STANDARD MICROSYSTEMS CORP     COM            853626109          3,268        200       X        28-5284                         200
                                                                17,615      1,078       X      X 28-5284      1078
                                                                   474         29       X        28-11135       29

STANDARD MTR PRODS INC         COM            853666105            311         90       X        28-5284                          90
               COLUMN TOTAL                                  9,836,455







                                                                                                                    FILE NO. 28-1235
PAGE 194 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STANDARD PAC CORP NEW          COM            85375C101          1,495        840       X        28-5284                         840

STANDARD REGISTER CO           COM            853887107            804         90       X        28-5284                          90

STANDEX INTL CORP              COM            854231107          2,182        110       X        28-5284                         110

STANLEY INC                    COM            854532108        785,250     21,680       X      X 28-5284     21680

STANLEY WKS                    COM            854616109        173,262      5,081       X        28-5284      5081
                                                               361,460     10,600       X      X 28-5284     10450               150

STAPLES INC                    COM            855030102      1,132,974     63,224       X        28-5284     59020              4204
                                                             2,653,110    148,053       X      X 28-5284    144603       450    3000
                                                               449,917     25,107       X        28-11135    25107

STARBUCKS CORP                 COM            855244109      1,887,223    199,495       X        28-5284    183606             15889
                                                               444,809     47,020       X      X 28-5284     17010             30010
                                                                 8,060        852       X      X 28-4580                         852

STARTEK INC                    COM            85569C107            312         70       X        28-5284                          70

STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        447,106     24,978       X        28-5284     14118             10860
                                                                91,791      5,128       X      X 28-5284      1150              3978
                                                                29,911      1,671       X        28-11135     1671

STATE STR CORP                 COM            857477103     23,602,444    600,113       X        28-5284    554683             45430
                                                            10,082,914    256,367       X      X 28-5284    228723      3638   24006
                                                               247,976      6,305       X        28-11135     6305
                                                               367,696      9,349       X        28-4580      9169               180
                                                               300,914      7,651       X      X 28-4580      7651

STATOILHYDRO ASA               SPONSORED ADR  85771P102         52,279      3,138       X        28-5284      3138
                                                                47,481      2,850       X      X 28-5284      2850
                                                               225,810     13,554       X        28-11135    13554
                                                                 5,948        357       X      X 28-4580       357

STEAK N SHAKE CO               COM            857873103          1,071        180       X        28-5284                         180
                                                                58,608      9,850       X        28-11135     9850

STEEL DYNAMICS INC             COM            858119100        146,346     13,090       X        28-5284     13090
                                                               111,353      9,960       X      X 28-5284      9960

STEELCASE INC                  CL A           858155203          3,822        680       X        28-5284                         680
               COLUMN TOTAL                                 43,724,328







                                                                                                                    FILE NO. 28-1235
PAGE 195 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STEIN MART INC                 COM            858375108            181        160       X        28-5284                         160

STELLARONE CORP                COM            85856G100         51,596      3,053       X        28-5284      3053

STERLING BANCSHARES INC        COM            858907108          3,222        530       X        28-5284                         530
                                                                29,883      4,915       X        28-11135     4915

STERICYCLE INC                 COM            858912108        399,297      7,667       X        28-5284      7667

STERIS CORP                    COM            859152100            860         36       X        28-5284        36
                                                                29,671      1,242       X      X 28-5284      1242
                                                               119,569      5,005       X        28-11135     5005

STEREOTAXIS INC                COM            85916J102            880        200       X        28-5284       200

STERLING CONSTRUCTION CO INC   COM            859241101          1,001         54       X        28-11135       54

STEWART INFORMATION SVCS COR   COM            860372101          3,758        160       X        28-5284                         160

STMICROELECTRONICS N V         NY REGISTRY    861012102        597,715     89,882       X        28-5284     80662              9220
                                                                25,968      3,905       X      X 28-5284      3905

STONE ENERGY CORP              COM            861642106          3,493        317       X        28-5284        27               290

STRATASYS INC                  COM            862685104         21,500      2,000       X        28-5284      2000
                                                                75,250      7,000       X      X 28-5284      7000

STRATEGIC DIAGNOSTICS INC      COM            862700101            303        340       X      X 28-5284       340

STRATEGIC HOTELS & RESORTS I   COM            86272T106         26,216     15,605       X        28-5284     15605
                                                                 1,512        900       X      X 28-5284       900

STRATTEC SEC CORP              COM            863111100         69,748      4,240       X      X 28-5284      4240

STRYKER CORP                   COM            863667101     12,852,195    321,707       X        28-5284    316573              5134
                                                            14,954,124    374,321       X      X 28-5284    356123      1305   16893
                                                               115,416      2,889       X        28-11135     2889
                                                               102,392      2,563       X        28-4580      2563
                                                               165,553      4,144       X      X 28-4580      3820               324

STUDENT LN CORP                COM            863902102          4,100        100       X        28-5284                         100

STURM RUGER & CO INC           COM            864159108          3,284        550       X        28-5284       400               150
               COLUMN TOTAL                                 29,658,687







                                                                                                                    FILE NO. 28-1235
PAGE 196 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104         23,043        650       X        28-5284       650
                                                               105,641      2,980       X      X 28-5284      2980

SUN COMMUNITIES INC            COM            866674104          7,000        500       X        28-5284       500
                                                                 7,000        500       X      X 28-5284       500

SUN LIFE FINL INC              COM            866796105        245,330     10,602       X        28-5284     10602
                                                                94,805      4,097       X      X 28-5284      2794      1303

SUN MICROSYSTEMS INC           COM NEW        866810203         27,340      7,157       X        28-5284      7157
                                                                39,315     10,292       X      X 28-5284      4674      2000    3618

SUN HYDRAULICS CORP            COM            866942105        220,145     11,685       X        28-11135    11685

SUNCOR ENERGY INC              COM            867229106        319,352     16,377       X        28-5284     14460              1917
                                                               545,766     27,988       X      X 28-5284     27688               300

SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108         50,783      1,125       X        28-5284      1125
                                                               665,815     14,750       X      X 28-5284     11350      2500     900

SUNOCO INC                     COM            86764P109        662,417     15,242       X        28-5284     14642               600
                                                               662,982     15,255       X      X 28-5284     14255              1000
                                                                 4,346        100       X        28-4580       100

SUNPOWER CORP                  COM CL A       867652109          9,768        264       X        28-5284       264
                                                                83,250      2,250       X      X 28-5284       750              1500
                                                                17,205        465       X        28-11135      465

SUNPOWER CORP                  COM CL B       867652307          4,992        164       X        28-5284       164
                                                               422,507     13,880       X      X 28-5284      7405              6475

SUNRISE SENIOR LIVING INC      COM            86768K106             84         50       X        28-5284        50
                                                                 1,680      1,000       X      X 28-5284      1000

SUNSTONE HOTEL INVS INC NEW    COM            867892101         73,321     11,845       X        28-5284     11845
                                                                 3,838        620       X      X 28-5284       620
               COLUMN TOTAL                                  4,297,725







                                                                                                                    FILE NO. 28-1235
PAGE 197 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SUNTRUST BKS INC               COM            867914103      1,839,485     62,271       X        28-5284     47834             14437
                                                             3,599,833    121,863       X      X 28-5284    113088       200    8575
                                                               236,261      7,998       X        28-11135     7998
                                                                 2,954        100       X        28-4580       100
                                                                 2,954        100       X      X 28-4580       100

SUNTECH PWR HLDGS CO LTD       ADR            86800C104         43,349      3,705       X      X 28-5284      2205              1500

SUPERIOR ENERGY SVCS INC       COM            868157108        381,890     23,973       X        28-11135    23973

SUPERTEX INC                   COM            868532102          2,881        120       X        28-5284                         120

SUPERVALU INC                  COM            868536103         63,525      4,351       X        28-5284      4351
                                                                19,403      1,329       X      X 28-5284       699               630
                                                                 3,796        260       X        28-11135      260

SUREWEST COMMUNICATIONS        COM            868733106          1,873        164       X        28-5284       164

SURMODICS INC                  COM            868873100         54,507      2,157       X        28-5284      2027               130
                                                               236,022      9,340       X      X 28-5284      4650              4690

SUSQUEHANNA BANCSHARES INC P   COM            869099101      1,110,566     69,803       X        28-5284     68639              1164
                                                               202,216     12,710       X      X 28-5284      9352              3358
                                                                30,706      1,930       X      X 28-4580      1930

SUSSEX BANCORP                 COM            869245100         47,925     10,650       X      X 28-5284     10650

SWIFT ENERGY CO                COM            870738101          4,371        260       X        28-5284                         260
                                                                12,876        766       X        28-11135      766

SWISS HELVETIA FD INC          COM            870875101        156,929     12,625       X        28-5284     12625
                                                               134,853     10,849       X      X 28-5284     10849

SYBASE INC                     COM            871130100          1,016         41       X      X 28-5284        41
                                                                 2,304         93       X        28-11135       93

SYCAMORE NETWORKS INC          COM            871206108            108         40       X        28-5284        40

SYKES ENTERPRISES INC          COM            871237103         41,911      2,192       X        28-11135     2192

SYMANTEC CORP                  COM            871503108      1,907,469    141,085       X        28-5284    129499             11586
                                                               632,128     46,755       X      X 28-5284     36023             10732
               COLUMN TOTAL                                 10,774,111







                                                                                                                    FILE NO. 28-1235
PAGE 198 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SYMMETRICOM INC                COM            871543104          1,067        270       X        28-5284                         270

SYMMETRY MED INC               COM            871546206            797        100       X      X 28-5284       100

SYNAPTICS INC                  COM            87157D109            431         26       X      X 28-5284        26

SYNGENTA AG                    SPONSORED ADR  87160A100         62,898      1,607       X        28-5284      1607
                                                                84,425      2,157       X      X 28-5284       400              1757
                                                                13,151        336       X      X 28-4580       336

SYNOPSYS INC                   COM            871607107          1,296         70       X        28-5284        70

SYNOVUS FINL CORP              COM            87161C105        569,065     68,562       X        28-5284     58842              9720
                                                               344,077     41,455       X      X 28-5284     35655      5800

SYNNEX CORP                    COM            87162W100         19,714      1,740       X        28-11135     1740

SYNIVERSE HLDGS INC            COM            87163F106         26,375      2,209       X        28-11135     2209

SYSCO CORP                     COM            871829107     13,544,602    590,436       X        28-5284    581348              9088
                                                             4,421,318    192,734       X      X 28-5284    150423      1300   41011
                                                                10,323        450       X        28-11135      450
                                                                28,583      1,246       X        28-4580      1246
                                                               474,858     20,700       X      X 28-4580     20700

SYSTEMAX INC                   COM            871851101        107,700     10,000       X        28-5284     10000

TCF FINL CORP                  COM            872275102         47,742      3,495       X        28-5284      3095               400
                                                               513,766     37,611       X      X 28-5284      5802             31809

TC PIPELINES LP                UT COM LTD PRT 87233Q108         93,000      4,000       X        28-5284      4000

TDK CORP                       AMERN DEP SH   872351408         17,763        477       X        28-5284       477

TD AMERITRADE HLDG CORP        COM            87236Y108         14,250      1,000       X      X 28-5284      1000
                                                                   641         45       X        28-11135       45

TECO ENERGY INC                COM            872375100        158,105     12,802       X        28-5284     12802
                                                               565,062     45,754       X      X 28-5284     43754              2000

TEL OFFSHORE TR                UNIT BEN INT   872382106          2,004        400       X      X 28-5284       400
               COLUMN TOTAL                                 21,123,013







                                                                                                                    FILE NO. 28-1235
PAGE 199 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TEPPCO PARTNERS L P            UT LTD PARTNER 872384102        239,243     12,225       X        28-5284     12225
                                                               350,323     17,901       X      X 28-5284     17901

TGC INDS INC                   COM NEW        872417308        163,376     80,481       X        28-5284     80481

THQ INC                        COM NEW        872443403          2,757        658       X        28-5284       111               547

TIB FINL CORP                  COM            872449103          4,529      1,020       X        28-5284      1020

TJX COS INC NEW                COM            872540109      1,706,467     82,959       X        28-5284     81059              1900
                                                               965,494     46,937       X      X 28-5284     44654      2283
                                                                 6,130        298       X        28-11135      298
                                                                26,741      1,300       X        28-4580      1300
                                                                51,425      2,500       X      X 28-4580      2500

TLC VISION CORP                COM            872549100         45,085    265,206       X      X 28-5284              265206

TS&W CLAYMORE TAX ADVNTG BL    COM            87280R108          2,367        356       X        28-5284       356

TVI CORP NEW                   COM            872916101          2,100     20,000       X        28-5284     20000
                                                                 1,155     11,000       X      X 28-5284     11000

TNS INC                        COM            872960109        238,083     25,355       X        28-11135    25355

TTM TECHNOLOGIES  INC          COM            87305R109        133,220     25,570       X        28-11135    25570

TW TELECOM INC                 COM            87311L104            102         12       X        28-5284        12

TAIWAN GREATER CHINA FD        SH BEN INT     874037104            618        175       X        28-5284       175

TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100         74,868      9,477       X        28-5284      9477
                                                                 9,654      1,222       X      X 28-5284      1222
                                                                 3,200        405       X        28-11135      405

TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109          5,330        705       X        28-5284        75               630

TALBOTS INC                    COM            874161102          1,996        835       X        28-5284       835
                                                                   717        300       X      X 28-5284       300

TALEO CORP                     CL A           87424N104          1,143        146       X        28-5284       146

TALISMAN ENERGY INC            COM            87425E103        270,449     27,072       X        28-11135    27072
               COLUMN TOTAL                                  4,306,572







                                                                                                                    FILE NO. 28-1235
PAGE 200 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TAM SA                         SP ADR REP PFD 87484D103          1,236        150       X        28-5284       150

TANGER FACTORY OUTLET CTRS I   COM            875465106        352,123      9,360       X        28-5284      9360
                                                                86,902      2,310       X      X 28-5284      2310

TANGER PPTYS LTD PARTNERSHIP   NOTE  3.750% 8 875484AE7      4,278,400      4,000       X        28-11439     4000

TARGET CORP                    COM            87612E106     90,352,061  2,616,625       X        28-5284   2597140             19485
                                                            11,634,642    336,943       X      X 28-5284    261260     27150   48533
                                                                   898         26       X        28-11135       26
                                                                88,328      2,558       X        28-4580      2558
                                                               177,830      5,150       X      X 28-4580      5150

TASER INTL INC                 COM            87651B104         15,840      3,000       X        28-5284      3000

TASEKO MINES LTD               COM            876511106            570      1,000       X        28-5284      1000
                                                                   285        500       X      X 28-5284       500

TASTY BAKING CO                COM            876553306          3,814      1,125       X      X 28-5284       750               375

TAUBMAN CTRS INC               COM            876664103        222,775      8,750       X        28-5284      8750
                                                                12,730        500       X      X 28-5284       500

TECH DATA CORP                 COM            878237106          1,017         57       X        28-5284        57

TECHNE CORP                    COM            878377100        155,622      2,412       X        28-5284      2412
                                                             2,119,805     32,855       X      X 28-5284     18605             14250

TECHNITROL INC                 COM            878555101          1,148        330       X        28-5284                         330
                                                                 6,264      1,800       X      X 28-5284                        1800

TECHNOLOGY SOLUTIONS CO        COM NEW        87872T207         53,987     51,416       X      X 28-5284               51416

TECK COMINCO LTD               CL B           878742204          7,331      1,490       X        28-5284      1417                73
                                                                 3,370        685       X      X 28-5284       390               295

TECUMSEH PRODS CO              CL A           878895200          9,580      1,000       X        28-5284      1000

TEGAL CORP                     COM NEW        879008209          5,376      4,887       X      X 28-5284                4887

TEJON RANCH CO DEL             COM            879080109         61,850      2,500       X      X 28-5284                2500
               COLUMN TOTAL                                109,653,784







                                                                                                                    FILE NO. 28-1235
PAGE 201 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TEKELEC                        COM            879101103            894         67       X        28-11135       67

TELE NORTE LESTE PART S A      SPON ADR PFD   879246106            835         60       X        28-5284        60
                                                                   626         45       X      X 28-5284        45
                                                                   404         29       X        28-11135       29

TELECOM ITALIA S P A NEW       SPON ADR ORD   87927Y102         40,349      2,483       X        28-5284      2483
                                                                 3,998        246       X      X 28-5284       246

TELECOM ITALIA S P A NEW       SPON ADR SVGS  87927Y201         10,036        885       X        28-5284       885

TELECOM ARGENTINA S A          SPON ADR REP B 879273209          1,824        240       X        28-5284       240

TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208          3,397        507       X        28-5284       507
                                                                21,051      3,142       X      X 28-5284      3142

TELECOMUNICACOES DE SAO PAUL   SPON ADR PFD   87929A102          3,882        200       X      X 28-5284       200

TELECOMMUNICATION SYS INC      CL A           87929J103         45,441      5,290       X      X 28-5284      5290

TELEDYNE TECHNOLOGIES INC      COM            879360105         14,568        327       X        28-5284        27               300
                                                                 2,450         55       X        28-11135       55

TELEFLEX INC                   COM            879369106      2,575,741     51,412       X        28-5284     50992               420
                                                               725,448     14,480       X      X 28-5284     14480
                                                                 3,257         65       X        28-11135       65

TELEFONICA S A                 SPONSORED ADR  879382208        284,318      4,219       X        28-5284      4219
                                                               169,621      2,517       X      X 28-5284      2517
                                                               329,672      4,892       X        28-11135     4892

TELEFONOS DE MEXICO S A B      SPON ADR A SHS 879403707        109,388      5,336       X        28-5284      5336

TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780        166,766      7,964       X        28-5284      7964
                                                               151,396      7,230       X      X 28-5284      4330              2900
                                                                 2,973        142       X        28-11135      142

TELEPHONE & DATA SYS INC       SPL COM        879433860          5,620        200       X        28-5284       200

TELEMIG CELULAR PART S A       SPON ADR PFD   87944E105             60          2       X        28-5284         2
                                                                    30          1       X      X 28-5284         1
               COLUMN TOTAL                                  4,674,045







                                                                                                                    FILE NO. 28-1235
PAGE 202 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TELLABS INC                    COM            879664100         23,010      5,585       X        28-5284       843              4742
                                                                11,124      2,700       X      X 28-5284      2700

TELMEX INTERNACIONAL SAB DE    SPONS ADR SR L 879690105         74,567      6,564       X        28-5284      6564
                                                                70,773      6,230       X      X 28-5284      3130              3100
                                                                 1,613        142       X        28-11135      142

TELMEX INTERNACIONAL SAB DE    SPON ADR SR A  879690204         53,394      4,696       X        28-5284      4696

TEMECULA VY BANCORP INC CA     COM            87972L104         94,670    100,499       X        28-1500    100499

TEMPLE INLAND INC              COM            879868107         11,678      2,433       X        28-5284      1213              1220

TEMPLETON DRAGON FD INC        COM            88018T101         22,334      1,294       X        28-5284      1294
                                                               107,012      6,200       X      X 28-5284      6200

TEMPLETON EMERGING MKTS FD I   COM            880191101          2,912        320       X        28-5284       320

TEMPLETON EMERG MKTS INCOME    COM            880192109         54,072      5,916       X        28-5284      5916
                                                                31,634      3,461       X      X 28-5284                        3461

TEMPLETON GLOBAL INCOME FD     COM            880198106        113,380     14,592       X        28-5284     14592
                                                                19,425      2,500       X      X 28-5284      2500

TENARIS S A                    SPONSORED ADR  88031M109         19,763        942       X        28-5284       942

TENET HEALTHCARE CORP          COM            88033G100          6,246      5,431       X        28-5284      5431
                                                                   213        185       X      X 28-5284       185

TENNECO INC                    COM            880349105            295        100       X        28-5284       100
                                                                   159         54       X      X 28-5284        54
                                                                    59         20       X        28-4580        20

TERADATA CORP DEL              COM            88076W103          7,815        527       X        28-5284       527
                                                                20,554      1,386       X      X 28-5284      1250               136

TERADYNE INC                   COM            880770102         42,901     10,166       X        28-5284     10166
                                                                16,914      4,008       X      X 28-5284      4008

TEREX CORP NEW                 COM            880779103        190,347     10,990       X        28-5284     10910                80
                                                               172,334      9,950       X      X 28-5284      9950
                                                               349,500     20,179       X        28-11135    20179
               COLUMN TOTAL                                  1,518,698







                                                                                                                    FILE NO. 28-1235
PAGE 203 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TERNIUM SA                     SPON ADR       880890108          1,731        202       X      X 28-5284       202

TERRA INDS INC                 COM            880915103          2,984        179       X        28-5284       179

TERRA NITROGEN CO L P          COM UNIT       881005201         56,550        600       X        28-5284       600
                                                                28,275        300       X      X 28-5284       300

TESORO CORP                    COM            881609101        217,305     16,500       X        28-5284     16500
                                                               343,118     26,053       X      X 28-5284     24853      1000     200

TETRA TECHNOLOGIES INC DEL     COM            88162F105          2,935        604       X        28-5284                         604

TETRA TECH INC NEW             COM            88162G103         30,188      1,250       X        28-5284       750               500
                                                                13,162        545       X      X 28-5284       545

TEVA PHARMACEUTICAL INDS LTD   ADR            881624209      8,934,379    209,875       X        28-5284    202798              7077
                                                            13,316,237    312,808       X      X 28-5284    299268      1640   11900
                                                               203,485      4,780       X        28-11135     4780
                                                               131,967      3,100       X        28-4580      3100
                                                                83,437      1,960       X      X 28-4580      1960

TESSERA TECHNOLOGIES INC       COM            88164L100             83          7       X      X 28-5284         7
                                                                85,085      7,162       X        28-11135     7162

TEXAS INDS INC                 COM            882491103          9,281        269       X        28-5284        29               240
                                                               241,500      7,000       X      X 28-5284      7000

TEXAS INSTRS INC               COM            882508104      7,339,874    472,930       X        28-5284    440470             32460
                                                             5,450,391    351,185       X      X 28-5284    322266      1200   27719
                                                               300,840     19,384       X        28-11135    19384
                                                                16,110      1,038       X        28-4580       838               200
                                                                44,154      2,845       X      X 28-4580      2845

TEXAS PAC LD TR                SUB CTF PROP I 882610108         75,075      3,250       X        28-5284      3250
                                                                 4,620        200       X      X 28-5284       200

TEXAS ROADHOUSE INC            CL A           882681109        305,738     39,450       X        28-5284     39450

TEXTRON INC                    COM            883203101        605,911     43,685       X        28-5284     42065              1620
                                                               340,772     24,569       X      X 28-5284     24269               300
                                                                91,320      6,584       X        28-11135     6584
                                                                16,644      1,200       X        28-4580      1200
               COLUMN TOTAL                                 38,293,151







                                                                                                                    FILE NO. 28-1235
PAGE 204 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
THERAGENICS CORP               COM            883375107            351        300       X        28-5284                         300

THERMO FISHER SCIENTIFIC INC   COM            883556102        315,693      9,266       X        28-5284      8046              1220
                                                             1,040,498     30,540       X      X 28-5284     12590             17950
                                                               809,878     23,771       X        28-11135    23771

THOMAS & BETTS CORP            COM            884315102        238,735      9,939       X        28-5284      9939
                                                               142,463      5,931       X      X 28-5284      5069               862

THOMSON                        SPONSORED ADR  885118109            888        658       X        28-5284       658
                                                                 4,320      3,200       X      X 28-5284      3200

THOMSON REUTERS PLC            SPONSORED ADR  885141101          5,840         43       X        28-5284        43
                                                                10,322         76       X      X 28-5284        76

THOR INDS INC                  COM            885160101         13,180      1,000       X      X 28-5284      1000

THORATEC CORP                  COM NEW        885175307          5,231        161       X        28-5284       161
                                                                 4,029        124       X      X 28-5284       124

3COM CORP                      COM            885535104          1,847        810       X        28-5284       810
                                                                   980        430       X      X 28-5284                         430
                                                               171,579     75,254       X        28-11135    75254

3-D SYS CORP DEL               COM NEW        88554D205          2,779        350       X        28-5284       350
                                                               338,593     42,644       X        28-11135    42644

3M CO                          COM            88579Y101     79,354,450  1,379,118       X        28-5284   1324904       600   53614
                                                            86,237,672  1,498,743       X      X 28-5284   1365978      4825  127940
                                                                39,415        685       X        28-11135      685
                                                             2,834,535     49,262       X        28-4580     49262
                                                             2,718,938     47,253       X      X 28-4580     43878              3375

TIBCO SOFTWARE INC             COM            88632Q103          1,811        349       X        28-5284       349

TICKETMASTER ENTMT INC         COM            88633P302            135         21       X        28-5284        21
                                                                   899        140       X      X 28-5284       140

TIDEWATER INC                  COM            886423102      1,567,107     38,915       X        28-5284     34835              4080
                                                               142,153      3,530       X      X 28-5284      3530
               COLUMN TOTAL                                176,004,321







                                                                                                                    FILE NO. 28-1235
PAGE 205 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TIFFANY & CO NEW               COM            886547108        341,666     14,459       X        28-5284     12321              2138
                                                               618,964     26,194       X      X 28-5284     12889             13305
                                                                 2,174         92       X        28-11135       92

TIGERLOGIC CORPORATION         COM            8867EQ101          3,600      2,000       X      X 28-5284      2000

TIM HORTONS INC                COM            88706M103         54,652      1,895       X        28-5284      1895
                                                                59,064      2,048       X      X 28-5284      1236               812

TIM PARTICIPACOES S A          SPONS ADR PFD  88706P106            137         11       X        28-5284        11
                                                                    87          7       X      X 28-5284         7

TIMBERLAND CO                  CL A           887100105         14,149      1,225       X        28-5284      1225

TIME WARNER INC                COM            887317105      3,697,030    367,498       X        28-5284    324170             43328
                                                             1,916,168    190,474       X      X 28-5284    151741      1950   36783
                                                                 5,674        564       X        28-11135      564
                                                                34,456      3,425       X        28-4580      2425              1000

TIMKEN CO                      COM            887389104          7,067        360       X        28-5284                         360
                                                                 1,276         65       X      X 28-5284        65

TITAN MACHY INC                COM            88830R101          7,030        500       X      X 28-5284       500

TITANIUM METALS CORP           COM NEW        888339207        405,260     46,000       X        28-5284     46000
                                                                67,837      7,700       X      X 28-5284      7700

TIVO INC                       COM            888706108         14,320      2,000       X      X 28-5284      2000

TOLL BROTHERS INC              COM            889478103        718,955     33,549       X        28-5284     21184             12365
                                                                29,852      1,393       X      X 28-5284      1393
                                                                 7,522        351       X        28-4580       351

TOLLGRADE COMMUNICATIONS INC   COM            889542106         31,452      6,580       X        28-5284      6500                80
                                                               645,013    134,940       X      X 28-5284              134940

TOMKINS PLC                    SPONSORED ADR  890030208          5,278        722       X        28-5284       722

TOMPKINS FINANCIAL CORPORATI   COM            890110109         15,415        266       X        28-5284                         266
                                                               522,130      9,010       X      X 28-5284      9010

TOOTSIE ROLL INDS INC          COM            890516107          6,582        257       X        28-5284       257
                                                               123,594      4,826       X      X 28-5284       826              4000
               COLUMN TOTAL                                  9,356,404







                                                                                                                    FILE NO. 28-1235
PAGE 206 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TORCHMARK CORP                 COM            891027104      1,105,655     24,735       X        28-5284      8507             16228
                                                             1,781,608     39,857       X      X 28-5284     12257             27600

TORO CO                        COM            891092108        108,900      3,300       X        28-5284      3000               300
                                                               671,220     20,340       X      X 28-5284      9700             10640
                                                               120,120      3,640       X        28-11135     3640

TORONTO DOMINION BK ONT        COM NEW        891160509      1,329,880     37,075       X        28-5284     37075
                                                                70,987      1,979       X      X 28-5284      1979

TORTOISE ENERGY INFRSTRCTR C   COM            89147L100          9,741        574       X        28-5284       574
                                                                16,970      1,000       X      X 28-5284      1000
                                                                25,455      1,500       X      X 28-4580      1500

TORTOISE CAP RES CORP          COM            89147N304          4,588      1,031       X      X 28-5284      1031

TORTOISE NORTH AMRN ENRGY CO   COM            89147T103         10,670      1,000       X        28-5284      1000

TORTOISE ENERGY CAP CORP       COM            89147U100         12,650      1,000       X        28-5284      1000

TOTAL S A                      SPONSORED ADR  89151E109      3,689,284     66,714       X        28-5284     64898              1816
                                                             1,568,419     28,362       X      X 28-5284     21164              7198
                                                               428,741      7,753       X        28-11135     7753
                                                                70,231      1,270       X        28-4580      1270

TOTAL SYS SVCS INC             COM            891906109        408,618     29,187       X        28-5284     29187
                                                                59,682      4,263       X      X 28-5284      1457      2806

TRACK DATA CORP                COM NEW        891918203        105,721    130,520       X      X 28-5284              130520

TOWNEBANK PORTSMOUTH VA        COM            89214P109         12,395        500       X      X 28-5284                         500

TOYOTA MOTOR CORP              SP ADR REP2COM 892331307        598,122      9,140       X        28-5284      9040               100
                                                               234,733      3,587       X      X 28-5284      3342               245
                                                               289,965      4,431       X        28-11135     4431

TORREYPINES THERAPEUTICS INC   COM            89235K105         51,300    190,000       X      X 28-5284              190000

TRACTOR SUPPLY CO              COM            892356106          3,614        100       X        28-5284                         100
                                                                 3,216         89       X      X 28-5284        89

TRANS WORLD ENTMT CORP         COM            89336Q100      3,443,361  2,628,520       X      X 28-5284             2620887    7633
               COLUMN TOTAL                                 16,235,846







                                                                                                                    FILE NO. 28-1235
PAGE 207 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TRANSAMERICA INCOME SHS INC    COM            893506105        148,335      9,300       X      X 28-5284                        9300

TRANSATLANTIC HLDGS INC        COM            893521104         52,879      1,320       X        28-5284      1320
                                                                 1,362         34       X      X 28-5284        34

TRANSCANADA CORP               COM            89353D107         70,564      2,600       X        28-5284      2600
                                                               217,120      8,000       X      X 28-5284      1500              6500

TRANSDIGM GROUP INC            COM            893641100        475,821     14,174       X      X 28-5284     11959              2215

TRANSMETA CORP DEL             COM            89376R208            910         50       X        28-5284        50
                                                             6,122,899    336,423       X      X 28-5284              336423

TRANSWITCH CORP                COM            894065101        605,223  2,161,511       X      X 28-5284             2161511

TRAVELERS COMPANIES INC        COM            89417E109      4,092,363     90,539       X        28-5284     69212             21327
                                                             7,049,121    155,954       X      X 28-5284    146568              9386
                                                               604,595     13,376       X        28-11135    13376
                                                                15,323        339       X        28-4580       339
                                                               172,754      3,822       X      X 28-4580      3822

TRAVELCENTERS OF AMERICA LLC   COM            894174101            132         55       X        28-5284        55
                                                                17,582      7,326       X      X 28-5284        14      7312

TREDEGAR CORP                  COM            894650100          3,272        180       X        28-5284                         180

TREE COM INC                   COM            894675107              8          3       X        28-5284         3
                                                                    60         23       X      X 28-5284        23

TRI CONTL CORP                 COM            895436103         15,776      1,600       X        28-5284      1600
                                                                87,912      8,916       X      X 28-5284      8916

TRIAN ACQUISITION I CORP       COM            89582E108         26,730      3,000       X      X 28-5284      3000

TRIMAS CORP                    COM NEW        896215209        165,600    120,000       X      X 28-5284    120000

TRIMBLE NAVIGATION LTD         COM            896239100         46,116      2,134       X        28-5284      2134
                                                               677,474     31,350       X      X 28-5284     10500             20850

TRIMERIS INC                   COM            896263100             50         37       X        28-11135       37

TRINA SOLAR LIMITED            SPON ADR       89628E104          4,645        500       X      X 28-5284       500
               COLUMN TOTAL                                 20,674,626







                                                                                                                    FILE NO. 28-1235
PAGE 208 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TRINITY INDS INC               COM            896522109         15,760      1,000       X        28-5284       800               200
                                                                 8,022        509       X      X 28-5284       309               200
                                                                   914         58       X        28-11135       58

TRIUMPH GROUP INC NEW          COM            896818101         54,731      1,289       X        28-5284       337               952
                                                                36,006        848       X        28-11135      848

TRUE RELIGION APPAREL INC      COM            89784N104          2,277        183       X        28-11135      183

TRUMP ENTMT RESORTS INC        COM            89816T103             34        200       X        28-5284       200

TRUSTCO BK CORP N Y            COM            898349105         12,078      1,270       X        28-5284       710               560

TRUSTMARK CORP                 COM            898402102          1,252         58       X        28-11135       58

TUPPERWARE BRANDS CORP         COM            899896104         76,363      3,364       X        28-5284      3364
                                                                84,353      3,716       X      X 28-5284      3050               666
                                                                47,715      2,102       X        28-11135     2102

TURKCELL ILETISIM HIZMETLERI   SPON ADR NEW   900111204            758         52       X        28-5284        52
                                                                29,160      2,000       X      X 28-5284      2000

21ST CENTY HLDG CO             COM            90136Q100        282,027     60,913       X      X 28-5284               60913

II VI INC                      COM            902104108         65,861      3,450       X        28-5284      3450
                                                               792,922     41,536       X      X 28-5284     30936     10600

TYLER TECHNOLOGIES INC         COM            902252105            958         80       X        28-4580        80

TYSON FOODS INC                CL A           902494103         17,389      1,985       X        28-5284      1400               585
                                                                28,251      3,225       X      X 28-5284      3225

UAL CORP                       COM NEW        902549807          1,785        162       X        28-5284       162

UCBH HOLDINGS INC              COM            90262T308          5,917        860       X        28-5284                         860

UDR INC                        COM            902653104        251,392     18,230       X        28-5284     18230
                                                               150,614     10,922       X      X 28-5284     10922

UGI CORP NEW                   COM            902681105        297,338     12,176       X        28-5284      9176              3000
                                                               754,749     30,907       X      X 28-5284     30907
               COLUMN TOTAL                                  3,018,626







                                                                                                                    FILE NO. 28-1235
PAGE 209 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UIL HLDG CORP                  COM            902748102          6,306        210       X        28-5284                         210
                                                                10,000        333       X      X 28-5284       333

UST INC                        COM            902911106        570,234      8,219       X        28-5284      8219
                                                               652,103      9,399       X      X 28-5284      9399
                                                                83,256      1,200       X        28-4580      1200

US BANCORP DEL                 COM NEW        902973304     35,300,214  1,411,444       X        28-5284   1328895             82549
                                                            13,165,064    526,392       X      X 28-5284    449362      6682   70348
                                                               316,977     12,674       X        28-11135    12674
                                                                40,016      1,600       X        28-4580      1600
                                                               275,735     11,025       X      X 28-4580     11025

UQM TECHNOLOGIES INC           COM            903213106            375        300       X        28-5284       300

URS CORP NEW                   COM            903236107      1,382,266     33,904       X        28-5284     33172               732
                                                               194,840      4,779       X      X 28-5284      4779
                                                                11,701        287       X        28-4580       287

USANA HEALTH SCIENCES INC      COM            90328M107        263,648      7,700       X      X 28-5284                7700

USA TECHNOLOGIES INC           CONV PFD SER A 90328S203         36,000      4,000       X      X 28-5284                        4000

USA TECHNOLOGIES INC           COM NO PAR     90328S500          5,148      2,440       X        28-5284      2440
                                                                 3,045      1,443       X      X 28-5284      1383                60

U S G CORP                     COM NEW        903293405          6,030        750       X        28-5284       750
                                                                24,417      3,037       X      X 28-5284      1037              2000

USEC INC                       NOTE  3.000%10 90333EAC2     46,843,000  1,112,000       X      X 28-5284             1112000

USEC INC                       COM            90333E108          8,118      1,808       X        28-5284      1808
                                                                 4,490      1,000       X      X 28-5284      1000

USA MOBILITY INC               COM            90341G103          2,430        210       X        28-5284       210

U S AIRWAYS GROUP INC          COM            90341W108          1,160        150       X        28-5284       150

ULTRA CLEAN HLDGS INC          COM            90385V107          1,206        600       X      X 28-5284       600

ULTRALIFE CORP                 COM            903899102            939         70       X        28-11135       70
               COLUMN TOTAL                                 99,208,718







                                                                                                                    FILE NO. 28-1235
PAGE 210 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ULTRA PETROLEUM CORP           COM            903914109         63,705      1,846       X        28-5284      1846
                                                               661,626     19,172       X      X 28-5284      6772             12400
                                                                 6,971        202       X        28-11135      202

ULTRATECH INC                  COM            904034105          2,272        190       X        28-5284                         190

UNDER ARMOUR INC               CL A           904311107         23,840      1,000       X        28-5284       600               400
                                                               104,896      4,400       X      X 28-5284      4400

UNIBANCO-UNIAO DE BANCOS BRA   ADR            90458E107            194          3       X        28-5284         3

UNICA CORP                     COM            904583101        368,015     67,156       X      X 28-5284     67156

UNIFIRST CORP MASS             COM            904708104          2,969        100       X        28-5284                         100
                                                                29,007        977       X        28-11135      977

UNILEVER PLC                   SPON ADR NEW   904767704      1,437,162     62,431       X        28-5284     48516             13915
                                                               983,299     42,715       X      X 28-5284     31526             11189
                                                                12,937        562       X        28-11135      562
                                                                29,581      1,285       X      X 28-4580      1285

UNILEVER N V                   N Y SHS NEW    904784709      7,261,227    295,773       X        28-5284    283381             12392
                                                            10,727,712    436,974       X      X 28-5284    416043      5352   15579
                                                               137,897      5,617       X        28-11135     5617
                                                                17,676        720       X        28-4580       420               300
                                                               113,470      4,622       X      X 28-4580      4622

UNION BANKSHARES INC           COM            905400107         66,800      4,000       X      X 28-5284      4000

UNION PAC CORP                 COM            907818108     38,242,294    800,048       X        28-5284    737793             62255
                                                            23,915,726    500,329       X      X 28-5284    468172      4765   27392
                                                               112,282      2,349       X        28-11135     2349
                                                               328,721      6,877       X        28-4580      6777               100
                                                               453,287      9,483       X      X 28-4580      8983       500

UNISOURCE ENERGY CORP          COM            909205106          8,514        290       X        28-5284                         290

UNISYS CORP                    COM            909214108          4,298      5,056       X        28-5284      5056
                                                                   825        970       X      X 28-5284       970
                                                                   616        725       X        28-11135      725
               COLUMN TOTAL                                 85,117,819







                                                                                                                    FILE NO. 28-1235
PAGE 211 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UNIT CORP                      COM            909218109        106,880      4,000       X        28-5284      4000
                                                                   721         27       X        28-11135       27

UNITED AMERN HEALTHCARE CORP   COM            90934C105      1,335,150    920,793       X      X 28-5284              920793

UNITED CMNTY BKS BLAIRSVLE G   CAP STK        90984P105        175,657     12,935       X        28-11135    12935

UNITED BANKSHARES INC WEST V   COM            909907107        257,023      7,737       X        28-5284      7407               330
                                                               103,646      3,120       X      X 28-5284      3120

UNITED BANCORP INC OHIO        COM            909911109         35,000      3,500       X        28-5284      3500

UNITED DOMINION REALTY TR IN   NOTE  4.000%12 910197AK8      1,612,440      2,000       X        28-11439     2000

UNITED DOMINION REALTY TR IN   NOTE  3.625%   910197AM4      1,099,155      1,500       X        28-11439     1500

UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          3,887      1,983       X        28-5284      1983
                                                                   210        107       X      X 28-5284       107
                                                                   808        412       X      X 28-4580       412

UNITED NAT FOODS INC           COM            911163103          7,591        426       X        28-5284        66               360
                                                               133,828      7,510       X        28-11135     7510

UNITED ONLINE INC              COM            911268100          6,768      1,115       X        28-5284      1115
                                                               154,858     25,512       X      X 28-5284     24000      1512

UNITED PARCEL SERVICE INC      CL B           911312106     53,688,442    973,322       X        28-5284    913102             60220
                                                            30,643,421    555,537       X      X 28-5284    543369       625   11543
                                                                19,582        355       X        28-11135      355
                                                             2,059,950     37,345       X        28-4580     36920               425
                                                               383,307      6,949       X      X 28-4580      6949

UNITED RENTALS INC             COM            911363109            228         25       X      X 28-5284        25

UNITED STATES OIL FUND LP      UNITS          91232N108      2,437,815     73,650       X        28-5284     63650             10000
                                                                   166          5       X      X 28-5284         5

U STORE IT TR                  COM            91274F104        106,177     23,860       X        28-5284     23860
                                                                85,040     19,110       X      X 28-5284     19110
               COLUMN TOTAL                                 94,457,750







                                                                                                                    FILE NO. 28-1235
PAGE 212 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 STATES STL CORP NEW     COM            912909108        481,070     12,932       X        28-5284     10020              2912
                                                               320,515      8,616       X      X 28-5284      8416               200
                                                               117,738      3,165       X        28-11135     3165
                                                                 3,720        100       X      X 28-4580       100

UNITED STATIONERS INC          COM            913004107          6,698        200       X        28-5284                         200

UNITED TECHNOLOGIES CORP       COM            913017109     98,088,858  1,830,016       X        28-5284   1751346             78670
                                                            75,443,447  1,407,527       X      X 28-5284   1271699     11540  124288
                                                               895,656     16,710       X        28-11135    16710
                                                             1,745,591     32,567       X        28-4580     32067               500
                                                             1,730,101     32,278       X      X 28-4580     32136               142

UNITED THERAPEUTICS CORP DEL   COM            91307C102         18,765        300       X      X 28-5284       300
                                                               110,088      1,760       X        28-11135     1760

UNITEDHEALTH GROUP INC         COM            91324P102      3,782,600    142,203       X        28-5284    114433             27770
                                                             1,508,752     56,720       X      X 28-5284     38070             18650
                                                               216,790      8,150       X        28-4580      8150

UNITIL CORP                    COM            913259107          3,221        156       X      X 28-5284       156

UNITRIN INC                    COM            913275103          3,188        200       X      X 28-5284       200

UNIVERSAL CORP VA              COM            913456109         29,870      1,000       X        28-5284      1000
                                                                34,351      1,150       X      X 28-5284      1000               150

UNIVERSAL DISPLAY CORP         COM            91347P105         15,120      1,600       X        28-5284       600              1000

UNIVERSAL ELECTRS INC          COM            913483103          2,173        134       X        28-5284       134

UNIVERSAL FST PRODS INC        COM            913543104          4,306        160       X        28-5284                         160

UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105        156,323      4,750       X      X 28-5284      3400              1350

UNIVERSAL HLTH SVCS INC        CL B           913903100         27,764        739       X        28-5284       739
                                                                11,271        300       X      X 28-5284                         300
                                                                   376         10       X        28-11135       10

UNUM GROUP                     COM            91529Y106        750,752     40,363       X        28-5284      7405             32958
                                                               244,423     13,141       X      X 28-5284     12264               877
                                                               107,248      5,766       X        28-11135     5766
               COLUMN TOTAL                                185,860,775







                                                                                                                    FILE NO. 28-1235
PAGE 213 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
URBAN OUTFITTERS INC           COM            917047102        943,126     62,959       X        28-5284     49559             13400
                                                               338,653     22,607       X      X 28-5284     13022              9585
                                                               283,422     18,920       X        28-11135    18920

URSTADT BIDDLE PPTYS INS       COM            917286106          7,125        500       X      X 28-5284       500

URSTADT BIDDLE PPTYS INS       CL A           917286205         27,878      1,750       X        28-5284      1750
                                                                31,860      2,000       X      X 28-5284      2000

VCA ANTECH INC                 COM            918194101         10,934        550       X        28-5284       550
                                                                82,502      4,150       X      X 28-5284      4150

V F CORP                       COM            918204108        770,066     14,060       X        28-5284     13100               960
                                                          1167,676,464 21,319,636       X      X 28-5284  21319486               150
                                                               350,692      6,403       X        28-11135     6403
                                                            19,010,941    347,105       X      X 28-4580              347105

VIST FINANCIAL CORP            COM            918255100          3,865        500       X        28-5284       500

VALHI INC NEW                  COM            918905100          3,948        369       X        28-5284       369

VALENCE TECHNOLOGY INC         COM            918914102          3,640      2,000       X      X 28-5284      2000

VALEANT PHARMACEUTICALS INTL   COM            91911X104         13,259        579       X        28-5284       579

VALERO ENERGY CORP NEW         COM            91913Y100        187,987      8,687       X        28-5284      6807              1880
                                                               794,729     36,725       X      X 28-5284     35625       900     200
                                                               467,835     21,619       X        28-11135    21619

VALLEY NATL BANCORP            COM            919794107        116,478      5,752       X        28-5284      5752

VALMONT INDS INC               COM            920253101         18,408        300       X        28-5284       150               150
                                                                55,224        900       X      X 28-5284       900

VALSPAR CORP                   COM            920355104        513,991     28,413       X        28-5284     27323              1090
                                                               917,778     50,734       X      X 28-5284     19449             31285
                                                                 9,859        545       X        28-11135      545

VALUE LINE INC                 COM            920437100          1,622         47       X        28-5284        47

VALUECLICK INC                 COM            92046N102          9,918      1,450       X        28-5284      1450
                                                                 6,840      1,000       X      X 28-5284      1000
                                                                    96         14       X        28-11135       14
               COLUMN TOTAL                              1,192,659,140







                                                                                                                    FILE NO. 28-1235
PAGE 214 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 HIGH INCOME TR II   SH BEN INT     920913100          4,199      2,359       X        28-5284      2359

VAN KAMPEN MUN TR              SH BEN INT     920919107         17,243      1,944       X        28-5284      1944

VAN KAMPEN TR INSD MUNS        COM            920928108         34,256      3,365       X      X 28-5284      3365

VAN KAMPEN TR INVT GRADE MUN   COM            920929106         13,260      1,500       X      X 28-5284      1500

VAN KAMPEN TR INVT GRADE N Y   COM            920931102         16,758      1,900       X      X 28-5284      1900

VAN KAMPEN TR INVT GRADE N J   COM            920933108         92,390      8,050       X        28-5284      8050

VAN KAMPEN MUN OPPORTUNITY T   COM            920935103          2,862        295       X        28-5284       295
                                                                 5,820        600       X      X 28-5284       600

VAN KAMPEN BD FD               COM            920955101         16,350      1,000       X      X 28-5284                        1000

VAN KAMPEN SENIOR INCOME TR    COM            920961109         30,981     12,102       X        28-5284     12102
                                                                 9,370      3,660       X      X 28-5284      3660

VAN KAMPEN SELECT SECTOR MUN   COM            92112M103         46,444      6,406       X        28-5284      6406

VAN KAMPEN PA VALUE MUN INCO   COM            92112T108        373,909     44,460       X        28-5284     44460
                                                               148,260     17,629       X      X 28-5284     15323      2306

VAN KAMPEN DYNAMIC CR OPPORT   COM            921166104          3,545        500       X        28-5284       500

VANGUARD SPECIALIZED PORTFOL   DIV APP ETF    921908844         16,417        409       X      X 28-5284       409

VANGUARD BD INDEX FD INC       LONG TERM BOND 921937793        323,729      4,033       X        28-11135     4033

VANGUARD BD INDEX FD INC       INTERMED TERM  921937819         41,774        525       X      X 28-5284       525

VANGUARD BD INDEX FD INC       SHORT TRM BOND 921937827        518,420      6,436       X        28-5284      6436
                                                               382,613      4,750       X      X 28-5284      4750
                                                               342,821      4,256       X        28-11135     4256

VANGUARD BD INDEX FD INC       TOTAL BND MRKT 921937835      2,241,169     28,380       X        28-5284     28380
                                                                47,619        603       X      X 28-5284       603

VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858        573,958     20,894       X        28-5284     20894
                                                                62,906      2,290       X      X 28-5284      2290
                                                                95,238      3,467       X      X 28-4580      3467
               COLUMN TOTAL                                  5,462,311







                                                                                                                    FILE NO. 28-1235
PAGE 215 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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             CONSUM DIS ETF 92204A108      2,267,858     70,343       X        28-5284     70343
                                                             4,193,328    130,066       X      X 28-5284    130066
                                                                55,775      1,730       X        28-4580      1730
                                                                 5,158        160       X      X 28-4580       160

VANGUARD WORLD FDS             CONSUM STP ETF 92204A207      2,097,583     36,259       X        28-5284     36259
                                                             3,599,022     62,213       X      X 28-5284     62213
                                                                47,900        828       X        28-4580       828
                                                                 5,091         88       X      X 28-4580        88

VANGUARD WORLD FDS             ENERGY ETF     92204A306      2,058,724     30,563       X        28-5284     30563
                                                               268,834      3,991       X      X 28-5284      3991
                                                                25,934        385       X        28-4580       385

VANGUARD WORLD FDS             FINANCIALS ETF 92204A405      1,873,866     72,378       X        28-5284     72378
                                                             3,985,429    153,937       X      X 28-5284    153937

VANGUARD WORLD FDS             HEALTH CAR ETF 92204A504      2,624,185     57,422       X        28-5284     56868               554
                                                               455,035      9,957       X      X 28-5284      9957

VANGUARD WORLD FDS             INDUSTRIAL ETF 92204A603      2,450,919     57,211       X        28-5284     57211
                                                             1,880,205     43,889       X      X 28-5284     43769               120

VANGUARD WORLD FDS             INF TECH ETF   92204A702      4,803,297    141,066       X        28-5284    141066
                                                             8,291,039    243,496       X      X 28-5284    243496

VANGUARD WORLD FDS             MATERIALS ETF  92204A801      2,058,118     45,333       X        28-5284     43123              2210
                                                               938,373     20,669       X      X 28-5284     20669
                                                                26,241        578       X        28-4580       578

VANGUARD WORLD FDS             UTILITIES ETF  92204A876        507,997      8,321       X        28-5284      8321
                                                                12,759        209       X      X 28-5284       209
                                                                18,498        303       X      X 28-4580       303

VANGUARD WORLD FDS             TELCOMM ETF    92204A884        219,215      4,891       X        28-5284      4891
                                                                13,446        300       X      X 28-5284       300
                                                                 3,406         76       X      X 28-4580        76

VANGUARD INTL EQUITY INDEX F   TT WRLD ST ETF 922042742         95,312      2,890       X      X 28-5284      2890
               COLUMN TOTAL                                 44,882,547







                                                                                                                    FILE NO. 28-1235
PAGE 216 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VANGUARD INTL EQUITY INDEX F   ALLWRLD EX US  922042775     30,734,348    950,939       X        28-5284    944485              6454
                                                            45,434,583  1,405,773       X      X 28-5284   1349563        40   56170
                                                               918,147     28,408       X        28-4580     28408
                                                               132,512      4,100       X      X 28-4580      4100

VANGUARD INTL EQUITY INDEX F   EMR MKT ETF    922042858     11,931,110    506,199       X        28-5284    492251             13948
                                                             8,243,513    349,746       X      X 28-5284    341910      2332    5504
                                                               518,304     21,990       X        28-11135    21990
                                                               193,203      8,197       X        28-4580      8197
                                                               105,829      4,490       X      X 28-4580      4490

VANGUARD INTL EQUITY INDEX F   PACIFIC ETF    922042866      3,814,575     87,051       X        28-5284     86386               665
                                                             1,487,820     33,953       X      X 28-5284     33838       115
                                                                78,394      1,789       X        28-4580      1789

VANGUARD INTL EQUITY INDEX F   EURPEAN ETF    922042874      2,366,313     61,687       X        28-5284     61687
                                                               874,186     22,789       X      X 28-5284     22789

VARIAN MED SYS INC             COM            92220P105      3,844,028    109,704       X        28-5284    102421              7283
                                                             1,745,903     49,826       X      X 28-5284     48926               900
                                                                   911         26       X        28-11135       26
                                                                35,040      1,000       X      X 28-4580      1000

VARIAN INC                     COM            922206107          4,557        136       X        28-5284       136
                                                                 6,702        200       X      X 28-5284       200

VARIAN SEMICONDUCTOR EQUIPMN   COM            922207105         15,311        845       X        28-5284       225               620
                                                                 8,154        450       X      X 28-5284       450
                                                                   779         43       X        28-11135       43

VECTREN CORP                   COM            92240G101        228,391      9,132       X        28-5284      9132
                                                               348,940     13,952       X      X 28-5284     13952

VECTOR GROUP LTD               COM            92240M108            368         27       X        28-5284        27

VEECO INSTRS INC DEL           COM            922417100          1,648        260       X        28-5284                         260

VENTAS INC                     COM            92276F100        481,427     14,341       X        28-5284     14341
                                                                32,563        970       X      X 28-5284       770               200
                                                                 1,846         55       X        28-11135       55
               COLUMN TOTAL                                113,589,405







                                                                                                                    FILE NO. 28-1235
PAGE 217 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VANGUARD INDEX FDS             MCAP VL IDXVIP 922908512      2,427,290     74,161       X        28-5284     67205              6956
                                                             1,268,418     38,754       X      X 28-5284     38054       700

VANGUARD INDEX FDS             MCAP GR IDXVIP 922908538      3,647,843    107,606       X        28-5284     97759              9847
                                                             8,168,680    240,964       X      X 28-5284    118348       700  121916

VANGUARD INDEX FDS             REIT ETF       922908553         92,401      2,535       X        28-5284      2360               175
                                                               108,694      2,982       X      X 28-5284      2879               103

VANGUARD INDEX FDS             SML CP GRW ETF 922908595      2,685,264     63,783       X        28-5284     62034              1749
                                                             9,594,716    227,903       X      X 28-5284     18621       400  208882
                                                                   211          5       X        28-4580         5
                                                                29,470        700       X      X 28-4580       700

VANGUARD INDEX FDS             SM CP VAL ETF  922908611      1,488,498     35,073       X        28-5284     33202              1871
                                                               584,059     13,762       X      X 28-5284     12661       400     701
                                                                44,774      1,055       X        28-4580      1055
                                                                61,538      1,450       X      X 28-4580      1450

VANGUARD INDEX FDS             MID CAP ETF    922908629      8,435,629    195,224       X        28-5284    188597              6627
                                                             6,680,914    154,615       X      X 28-5284     99134       600   54881
                                                               119,908      2,775       X        28-4580      2775
                                                               650,656     15,058       X      X 28-4580     11253      3805

VANGUARD INDEX FDS             LARGE CAP ETF  922908637     21,223,904    520,832       X        28-5284    504003             16829
                                                            12,656,787    310,596       X      X 28-5284    150319            160277
                                                                    41          1       X        28-11135        1
                                                             1,265,165     31,047       X      X 28-4580     31047

VANGUARD INDEX FDS             EXTEND MKT ETF 922908652        254,205      8,047       X        28-5284      8047
                                                               684,587     21,671       X      X 28-5284     21671

VANGUARD INDEX FDS             GROWTH ETF     922908736     14,941,260    378,164       X        28-5284    353549             24615
                                                            29,709,386    751,946       X      X 28-5284    331827     26430  393689
                                                                14,579        369       X        28-11135      369
                                                               113,512      2,873       X        28-4580      2873

VANGUARD INDEX FDS             VALUE ETF      922908744     11,297,597    274,480       X        28-5284    259199             15281
                                                            12,119,521    294,449       X      X 28-5284    277346     16580     523
                                                                13,377        325       X        28-11135      325
               COLUMN TOTAL                                150,382,884







                                                                                                                    FILE NO. 28-1235
PAGE 218 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VANGUARD INDEX FDS             SMALL CP ETF   922908751      8,878,184    209,046       X        28-5284    202928              6118
                                                             7,835,078    184,485       X      X 28-5284    149769      5438   29278
                                                                11,212        264       X        28-11135      264
                                                                87,913      2,070       X        28-4580      2070
                                                               590,715     13,909       X      X 28-4580      9906      4003

VANGUARD INDEX FDS             STK MRK ETF    922908769     19,464,763    435,064       X        28-5284    428461              6603
                                                            50,443,858  1,127,489       X      X 28-5284    455887       832  670770
                                                                50,377      1,126       X        28-4580      1126

VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103         49,182      1,551       X        28-5284      1551
                                                                31,710      1,000       X      X 28-5284      1000

VERENIUM CORPORATION           COM            92340P100          1,025      1,165       X        28-5284      1165

VERIFONE HLDGS INC             COM            92342Y109          3,920        800       X        28-5284       800

VERISIGN INC                   COM            92343E102            572         30       X        28-5284        30
                                                                 2,862        150       X      X 28-5284                         150

VERIZON COMMUNICATIONS INC     COM            92343V104     82,734,543  2,440,547       X        28-5284   2341299             99248
                                                           106,276,127  3,134,989       X      X 28-5284   2636055      8663  490271
                                                               648,032     19,116       X        28-11135    19116
                                                             1,403,460     41,400       X        28-4580     41297               103
                                                             1,060,968     31,297       X      X 28-4580     29748       590     959

VERSAR INC                     COM            925297103         92,700     22,500       X      X 28-5284     22500

VERTEX PHARMACEUTICALS INC     COM            92532F100         61,337      2,019       X        28-5284      1859               160

VESTIN RLTY MTG II INC         COM NEW        92549X201          2,363        750       X        28-5284       750

VIAD CORP                      COM NEW        92552R406         13,285        537       X        28-5284       537

VIASAT INC                     COM            92552V100         23,598        980       X        28-5284       750               230
                                                                 9,632        400       X      X 28-5284       400
                                                               125,770      5,223       X        28-11135     5223

VIACOM INC NEW                 CL A           92553P102         15,452        768       X        28-5284       421               347
                                                                24,949      1,240       X      X 28-5284       887               353
               COLUMN TOTAL                                279,943,587







                                                                                                                    FILE NO. 28-1235
PAGE 219 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VIACOM INC NEW                 CL B           92553P201        806,066     42,291       X        28-5284     34021              8270
                                                               782,909     41,076       X      X 28-5284     37326              3750
                                                                   953         50       X        28-4580        50
                                                                19,060      1,000       X      X 28-4580      1000

VICAL INC                      COM            925602104          1,410      1,000       X        28-5284      1000

VICOR CORP                     COM            925815102            859        130       X        28-5284                         130

VILLAGE BK & TR FINANCIAL CO   COM            92705T101        330,161     73,369       X      X 28-5284     73369

VIRGIN MEDIA INC               COM            92769L101            903        181       X        28-5284       181

VIRGINIA COMM BANCORP INC      COM            92778Q109          5,170      1,000       X        28-5284      1000
                                                               108,513     20,989       X        28-11135    20989

VIROPHARMA INC                 COM            928241108            326         25       X        28-5284        25
                                                                 1,302        100       X      X 28-5284       100

VISA INC                       COM CL A       92826C839      5,089,014     97,026       X        28-5284     90698              6328
                                                             2,371,369     45,212       X      X 28-5284     44457               755
                                                                 4,983         95       X        28-11135       95
                                                                17,204        328       X        28-4580       328
                                                                 4,144         79       X      X 28-4580        79

VISHAY INTERTECHNOLOGY INC     COM            928298108         25,479      7,450       X        28-5284      7450
                                                                12,144      3,551       X      X 28-5284      3551

VISTEON CORP                   COM            92839U107            162        464       X      X 28-5284       464
                                                                     5         13       X        28-4580        13

VITAL IMAGES INC               COM            92846N104         14,425      1,037       X        28-5284      1037

VIVO PARTICIPACOES S A         SPON ADR PFD N 92855S200            188         15       X        28-5284        15
                                                                   138         11       X      X 28-5284        11

VIVUS INC                      COM            928551100          2,128        400       X        28-5284       400

VMWARE INC                     CL A COM       928563402         16,583        700       X        28-5284       700
               COLUMN TOTAL                                  9,615,598







                                                                                                                    FILE NO. 28-1235
PAGE 220 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209      3,993,465    195,375       X        28-5284    177258             18117
                                                             6,008,236    293,945       X      X 28-5284    254872      1195   37878
                                                               370,311     18,117       X        28-11135    18117
                                                                24,671      1,207       X        28-4580      1207
                                                                40,226      1,968       X      X 28-4580      1968

VOCUS INC                      COM            92858J108        455,250     25,000       X        28-5284                       25000

VOLCANO CORPORATION            COM            928645100         30,000      2,000       X        28-5284      2000

VOLT INFORMATION SCIENCES IN   COM            928703107            759        105       X        28-5284                         105

VONAGE HLDGS CORP              COM            92886T201            470        712       X        28-5284       712

VORNADO RLTY TR                SH BEN INT     929042109      1,032,166     17,103       X        28-5284     16463               640
                                                               196,922      3,263       X      X 28-5284      3263

VORNADO RLTY TR                PFD CONV SER A 929042208         41,990        500       X        28-5284                         500

VULCAN MATLS CO                COM            929160109        140,065      2,013       X        28-5284      1313               700
                                                               643,476      9,248       X      X 28-5284      7238              2010

WD-40 CO                       COM            929236107          3,961        140       X        28-5284                         140
                                                                42,435      1,500       X      X 28-5284      1500
                                                               307,682     10,876       X        28-11135    10876

WGL HLDGS INC                  COM            92924F106         50,212      1,536       X        28-5284      1536
                                                               468,186     14,322       X      X 28-5284      7172              7150

WHX CORP                       COM PAR $.01 N 929248607        267,520     33,440       X      X 28-5284               33440

WABCO HLDGS INC                COM            92927K102            774         49       X        28-5284        49
                                                                 9,727        616       X      X 28-5284       616

WMS INDS INC                   COM            929297109         17,351        645       X        28-5284       645
                                                               120,135      4,466       X      X 28-5284      4466
                                                               178,266      6,627       X        28-11135     6627

W P CAREY & CO LLC             COM            92930Y107        840,739     35,883       X        28-5284     35383               500
                                                               526,285     22,462       X      X 28-5284     20962              1500

WSFS FINL CORP                 COM            929328102         23,995        500       X        28-5284       500
                                                                12,429        259       X        28-4580       259
               COLUMN TOTAL                                 15,847,704







                                                                                                                    FILE NO. 28-1235
PAGE 221 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WPP PLC                        ADR            92933H101            740         25       X        28-5284        25
                                                                   947         32       X      X 28-5284        32

WVS FINL CORP                  COM            929358109         31,960      2,000       X        28-5284      2000

WABASH NATL CORP               COM            929566107          1,080        240       X        28-5284                         240

WABTEC CORP                    COM            929740108      1,268,025     31,900       X        28-5284      2250             29650
                                                             4,865,400    122,400       X      X 28-5284      8195            114205
                                                                53,822      1,354       X        28-11135     1354
                                                            10,629,230    267,402       X        28-4580    267402

WACHOVIA CORP NEW              COM            929903102      2,050,360    370,101       X        28-5284    348260             21841
                                                             3,506,272    632,901       X      X 28-5284    558726      3739   70436
                                                                 1,573        284       X        28-11135      284
                                                                75,870     13,695       X        28-4580     13695
                                                                73,915     13,342       X      X 28-4580     13342

WACHOVIA CORP NEW              CONV7.5%PFD CL 929903219         37,500         50       X      X 28-5284                  50

WACOAL HOLDINGS CORP           ADR            930004205         27,995        425       X        28-5284       425

WADDELL & REED FINL INC        CL A           930059100         58,470      3,782       X        28-5284      3782
                                                               386,747     25,016       X      X 28-5284      5325             19691
                                                                 2,582        167       X        28-11135      167

WAL MART STORES INC            COM            931142103    107,245,247  1,913,044       X        28-5284   1812328            100716
                                                            62,837,990  1,120,906       X      X 28-5284   1032957      8142   79807
                                                               294,203      5,248       X        28-11135     5248
                                                             1,728,218     30,828       X        28-4580     30628               200
                                                               576,745     10,288       X      X 28-4580      9932               356

WALGREEN CO                    COM            931422109      9,246,735    374,817       X        28-5284    346384             28433
                                                             7,905,477    320,449       X      X 28-5284    297670       700   22079
                                                                15,986        648       X        28-11135      648
                                                               132,108      5,355       X        28-4580      5355
                                                                46,873      1,900       X      X 28-4580      1900

WALTER INDS INC                COM            93317Q105          1,751        100       X        28-5284       100
                                                                64,227      3,668       X        28-11135     3668
               COLUMN TOTAL                                213,168,048







                                                                                                                    FILE NO. 28-1235
PAGE 222 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WARNACO GROUP INC              COM NEW        934390402          7,538        384       X        28-5284        42               342
                                                                   412         21       X      X 28-5284        21
                                                                27,619      1,407       X        28-11135     1407

WARNER MUSIC GROUP CORP        COM            934550104            707        234       X        28-5284       234

WASHINGTON POST CO             CL B           939640108        212,296        544       X        28-5284       264               280
                                                               791,427      2,028       X      X 28-5284      1700               328
                                                                18,342         47       X        28-11135       47

WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        195,496      6,908       X        28-5284      4258              2650
                                                               291,632     10,305       X      X 28-5284      9905               400
                                                                70,750      2,500       X      X 28-4580      2500

WASHINGTON TR BANCORP          COM            940610108         80,876      4,095       X      X 28-5284      4095

WASTE CONNECTIONS INC          COM            941053100          8,177        259       X        28-5284       259
                                                                 2,305         73       X      X 28-5284        73
                                                                24,372        772       X        28-11135      772

WASTE MGMT INC DEL             COM            94106L109      2,025,086     61,107       X        28-5284     37507             23600
                                                             1,062,932     32,074       X      X 28-5284     13524             18550
                                                               562,618     16,977       X        28-11135    16977
                                                                 2,784         84       X      X 28-4580        84

WATERS CORP                    COM            941848103        500,529     13,657       X        28-5284     13657
                                                               518,817     14,156       X      X 28-5284     12289      1867
                                                               127,762      3,486       X        28-11135     3486
                                                                52,849      1,442       X      X 28-4580      1442

WATSCO INC                     COM            942622200         11,136        290       X        28-5284        50               240
                                                                 1,536         40       X        28-11135       40

WATSON PHARMACEUTICALS INC     COM            942683103          1,674         63       X        28-5284        63
                                                                22,585        850       X      X 28-5284       200               650
                                                               401,818     15,123       X        28-11135    15123

WATSON WYATT WORLDWIDE INC     CL A           942712100        123,471      2,582       X      X 28-5284                        2582
                                                                54,993      1,150       X        28-11135     1150

WATTS WATER TECHNOLOGIES INC   CL A           942749102          7,516        301       X        28-5284        51               250
                                                                12,485        500       X      X 28-5284       500
               COLUMN TOTAL                                  7,222,540







                                                                                                                    FILE NO. 28-1235
PAGE 223 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WEBMD HEALTH CORP              CL A           94770V102          1,887         80       X        28-5284                          80
                                                                94,360      4,000       X      X 28-5284      4000

WEBSTER FINL CORP CONN         COM            947890109         53,852      3,908       X      X 28-5284      3908

WEINGARTEN RLTY INVS           SH BEN INT     948741103        535,147     25,865       X        28-5284     25865
                                                               783,323     37,860       X      X 28-5284     31860              6000

WEIS MKTS INC                  COM            948849104        499,204     14,844       X        28-5284     14344               500
                                                                 8,408        250       X      X 28-5284       250

WELLCARE HEALTH PLANS INC      COM            94946T106          6,649        517       X        28-5284       517

WELLPOINT INC                  COM            94973V107      2,497,340     59,277       X        28-5284     55375              3902
                                                             1,984,871     47,113       X      X 28-5284     31163       700   15250
                                                               320,651      7,611       X        28-11135     7611
                                                                25,278        600       X        28-4580       600
                                                                16,852        400       X      X 28-4580       400

WELLS FARGO & CO NEW           COM            949746101     64,577,355  2,190,548       X        28-5284   2107422             83126
                                                            83,120,894  2,819,569       X      X 28-5284   2680420     22450  116699
                                                                38,501      1,306       X        28-11135     1306
                                                               585,325     19,855       X        28-4580     19855
                                                               717,573     24,341       X      X 28-4580     24341

WENDYS ARBYS GROUP INC         COM            950587105         37,919      7,676       X        28-5284      7676
                                                                 6,299      1,275       X      X 28-5284                        1275

WERNER ENTERPRISES INC         COM            950755108          1,127         65       X        28-11135       65

WESBANCO INC                   COM            950810101      1,419,029     52,151       X        28-5284     52151
                                                               443,360     16,294       X      X 28-5284     16294

WESCO INTL INC                 COM            95082P105          4,384        228       X        28-5284       228
                                                               105,861      5,505       X        28-11135     5505

WEST PHARMACEUTICAL SVSC INC   COM            955306105        192,627      5,100       X        28-5284      5100
                                                                25,306        670       X      X 28-5284                         670

WESTAR ENERGY INC              COM            95709T100         16,408        800       X        28-5284       800
                                                                16,408        800       X      X 28-5284       800

WESTAMERICA BANCORPORATION     COM            957090103         19,949        390       X        28-5284       390
               COLUMN TOTAL                                158,156,147







                                                                                                                    FILE NO. 28-1235
PAGE 224 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WESTELL TECHNOLOGIES INC       CL A           957541105             46        175       X      X 28-5284       175

WESTERN ASSET GLB HI INCOME    COM            95766B109         90,919     12,506       X      X 28-5284                       12506

WESTERN AST EMRG MKT FLT RT    COM            95766C107         15,100      2,000       X      X 28-5284      2000

WESTERN ASSET HIGH INCM FD I   COM            95766J102         38,128      7,550       X      X 28-5284      7550

WESTERN ASSET HIGH INCM OPP    COM            95766K109         42,586     10,700       X      X 28-5284     10700

WESTERN ASSETT MGD HI INCM F   COM            95766L107             30          7       X        28-5284         7

WESTERN ASST MNG MUN FD INC    COM            95766M105         46,650      5,000       X      X 28-5284      5000

WESTERN ASSET CLYM INFL SEC    COM SH BEN INT 95766Q106         24,516      2,270       X        28-5284      2270
                                                                98,280      9,100       X      X 28-5284                        9100

WESTERN ASSET CLYM INFL OPP    COM            95766R104        122,733     11,700       X      X 28-5284                       11700

WESTERN ASSET INCOME FD        COM            95766T100         10,485      1,000       X      X 28-5284                        1000

WESTERN ASSET INFL MGMT FD I   COM            95766U107         25,772      1,786       X        28-5284      1786
                                                               157,893     10,942       X      X 28-5284                       10942

WESTERN ASSET PREMIER BD FD    SHS BEN INT    957664105         41,572      4,671       X        28-5284      4671
                                                               115,291     12,954       X      X 28-5284       354             12600

WESTERN ASSET VAR RT STRG FD   COM            957667108        309,150     27,000       X      X 28-5284                       27000

WESTERN DIGITAL CORP           COM            958102105        175,517     15,329       X        28-5284     14329              1000
                                                                29,140      2,545       X      X 28-5284      2545
                                                                   321         28       X        28-11135       28

WESTERN GAS PARTNERS LP        COM UNIT LP IN 958254104          6,415        500       X        28-5284       500

WESTERN REFNG INC              COM            959319104            776        100       X      X 28-5284       100

WESTERN UN CO                  COM            959802109      1,189,288     82,935       X        28-5284     79187              3748
                                                             1,625,625    113,363       X      X 28-5284    110528              2835
                                                                13,379        933       X      X 28-4580       933

WESTPAC BKG CORP               SPONSORED ADR  961214301         42,537        706       X        28-5284       706
                                                                 4,941         82       X        28-11135       82
               COLUMN TOTAL                                  4,227,090







                                                                                                                    FILE NO. 28-1235
PAGE 225 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WEYERHAEUSER CO                COM            962166104        427,805     13,976       X        28-5284     10076              3900
                                                               652,330     21,311       X      X 28-5284     18761       250    2300
                                                                 7,897        258       X        28-11135      258
                                                                 1,990         65       X        28-4580        65

WHIRLPOOL CORP                 COM            963320106        149,439      3,614       X        28-5284      2842               772
                                                                69,427      1,679       X      X 28-5284      1679
                                                                 2,481         60       X        28-4580        60

WHITING PETE CORP NEW          COM            966387102         18,403        550       X      X 28-5284       550

WHITNEY HLDG CORP              COM            966612103          8,747        547       X        28-5284                         547
                                                                41,286      2,582       X      X 28-5284      2582
                                                               400,390     25,040       X        28-11135    25040

WHOLE FOODS MKT INC            COM            966837106        362,534     38,404       X        28-5284     29554              8850
                                                               527,554     55,885       X      X 28-5284     11195     29500   15190
                                                                13,216      1,400       X        28-4580      1400
                                                                   944        100       X      X 28-4580       100

WILEY JOHN & SONS INC          CL A           968223206        320,220      9,000       X        28-5284      9000
                                                                24,372        685       X        28-11135      685
                                                                71,978      2,023       X      X 28-4580      2023

WILLIAMS COAL SEAM GAS RTY T   TR UNIT        969450105          9,125      1,250       X        28-5284      1250

WILLIAMS COS INC DEL           COM            969457100        540,538     37,330       X        28-5284     22290             15040
                                                               471,440     32,558       X      X 28-5284     26453              6105
                                                                 2,505        173       X        28-11135      173

WILLIAMS CTLS INC              COM NEW        969465608          4,004        550       X      X 28-5284       550

WILLIAMS CLAYTON ENERGY INC    COM            969490101         18,176        400       X      X 28-5284       400

WILLIAMS PARTNERS L P          COM UNIT L P   96950F104         11,940      1,000       X      X 28-5284      1000

WILLIAMS PIPELINE PARTNERS L   COM UNIT LP IN 96950K103         15,587      1,100       X        28-5284      1100

WILLIAMS SONOMA INC            COM            969904101         19,493      2,480       X        28-5284      2480
               COLUMN TOTAL                                  4,193,821







                                                                                                                    FILE NO. 28-1235
PAGE 226 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WILMINGTON TRUST CORP          COM            971807102      1,013,277     45,561       X        28-5284     45461               100
                                                               548,816     24,677       X      X 28-5284     14577             10100
                                                               615,047     27,655       X        28-4580     27655
                                                             2,021,349     90,888       X      X 28-4580     88659              2229

WILSHIRE BANCORP INC           COM            97186T108         18,160      2,000       X        28-5284      2000

WIMM BILL DANN FOODS OJSC      SPONSORED ADR  97263M109          1,316         50       X        28-5284        50

WIND RIVER SYSTEMS INC         COM            973149107          5,870        650       X        28-5284       650

WINDSTREAM CORP                COM            97381W104      1,235,348    134,277       X        28-5284    128566              5711
                                                               966,773    105,084       X      X 28-5284     95895       155    9034
                                                                16,716      1,817       X        28-11135     1817
                                                                11,095      1,206       X      X 28-4580      1206

WINN DIXIE STORES INC          COM NEW        974280307         10,449        649       X        28-5284       649

WINNEBAGO INDS INC             COM            974637100          1,447        240       X        28-5284                         240
                                                                 7,236      1,200       X      X 28-5284      1200

WINTHROP RLTY TR               SH BEN INT NEW 976391300        105,246      9,709       X      X 28-5284                        9709

WISCONSIN ENERGY CORP          COM            976657106        163,386      3,892       X        28-5284      3892
                                                               604,218     14,393       X      X 28-5284     12293              2100

WISDOMTREE TRUST               LARGECAP DIVID 97717W307     53,636,350  1,475,959       X        28-5284   1475209               750
                                                               938,226     25,818       X      X 28-5284     23968              1850
                                                             2,997,251     82,478       X        28-4580     80178              2300
                                                               707,249     19,462       X      X 28-4580     19462

WISDOMTREE TRUST               INDIA ERNGS FD 97717W422         14,415      1,270       X      X 28-5284      1074               196

WISDOMTREE TRUST               DEFA FD        97717W703         71,680      1,857       X        28-5284      1857
                                                                 1,930         50       X      X 28-5284        50

WISDOMTREE TRUST               INTL SMCAP DIV 97717W760        444,408     13,195       X        28-5284     13195
                                                                10,104        300       X        28-11135      300

WISDOMTREE TRUST               INTL DV TOP100 97717W786          1,232         36       X      X 28-5284        36

WOLVERINE WORLD WIDE INC       COM            978097103          8,942        425       X        28-5284                         425
                                                                42,143      2,003       X        28-11135     2003
               COLUMN TOTAL                                 66,219,679







                                                                                                                    FILE NO. 28-1235
PAGE 227 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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         12,914        561       X        28-5284       111               450
                                                                46,040      2,000       X      X 28-5284                        2000

WORLD ACCEP CORP DEL           COM            981419104            593         30       X        28-5284        30
                                                               110,399      5,587       X        28-11135     5587

WORLD WRESTLING ENTMT INC      CL A           98156Q108          2,559        231       X        28-5284       231
                                                                39,666      3,580       X      X 28-5284      3080               500

WORTHINGTON INDS INC           COM            981811102         83,774      7,602       X        28-5284      6452              1150
                                                               579,112     52,551       X      X 28-5284     52051               500

WRIGHT EXPRESS CORP            COM            98233Q105            441         35       X        28-5284        35

WRIGHT MED GROUP INC           COM            98235T107         34,731      1,700       X      X 28-5284      1700

WYETH                          COM            983024100     93,592,364  2,495,131       X        28-5284   2404454       690   89987
                                                            99,047,218  2,640,555       X      X 28-5284   2376125     17136  247294
                                                               535,230     14,269       X        28-11135    14269
                                                             1,872,349     49,916       X        28-4580     49693               223
                                                             2,961,452     78,951       X      X 28-4580     76658              2293

WYNDHAM WORLDWIDE CORP         COM            98310W108          1,657        253       X        28-5284       253
                                                                91,084     13,906       X      X 28-5284      1766             12140

WYNN RESORTS LTD               COM            983134107          4,226        100       X      X 28-5284       100

XTO ENERGY INC                 COM            98385X106     31,352,103    888,917       X        28-5284    835043             53874
                                                             9,635,870    273,203       X      X 28-5284    251389      6297   15517
                                                                44,475      1,261       X        28-11135     1261
                                                               526,687     14,933       X        28-4580     14733               200
                                                               236,626      6,709       X      X 28-4580      6709

XCEL ENERGY INC                COM            98389B100      2,415,451    130,213       X        28-5284    107443             22770
                                                             3,071,732    165,592       X      X 28-5284    122142             43450
                                                                74,200      4,000       X      X 28-4580      4000

XILINX INC                     COM            983919101        258,212     14,490       X        28-5284     13270              1220
                                                                25,643      1,439       X      X 28-5284      1439
                                                               356,471     20,004       X        28-11135    20004
                                                                 2,816        158       X        28-4580       158
               COLUMN TOTAL                                247,016,095







                                                                                                                    FILE NO. 28-1235
PAGE 228 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
XEROX CORP                     COM            984121103         78,664      9,870       X        28-5284      6790              3080
                                                                99,792     12,521       X      X 28-5284     11771               750
                                                               393,128     49,326       X        28-11135    49326

YRC WORLDWIDE INC              COM            984249102         15,211      5,300       X        28-5284      5300
                                                                   109         38       X        28-11135       38

YAHOO INC                      COM            984332106        706,429     57,904       X        28-5284     26219             31685
                                                               237,473     19,465       X      X 28-5284     15460              4005

YAMANA GOLD INC                COM            98462Y100         10,808      1,400       X        28-5284      1400
                                                                52,496      6,800       X      X 28-5284      6800
                                                                 1,915        248       X        28-11135      248

YINGLI GREEN ENERGY HLDG CO    ADR            98584B103          3,660        600       X      X 28-5284       600

YORK WTR CO                    COM            987184108         15,730      1,300       X      X 28-5284      1300

YOUBET COM INC                 COM            987413101      2,148,351  2,518,583       X      X 28-5284             2518583

YUM BRANDS INC                 COM            988498101     18,809,186    597,117       X        28-5284    560672             36445
                                                             7,021,665    222,910       X      X 28-5284    203370      1450   18090
                                                               145,278      4,612       X        28-4580      4612
                                                                96,075      3,050       X      X 28-4580      3050

ZALE CORP NEW                  COM            988858106          1,032        310       X        28-5284                         310

ZEBRA TECHNOLOGIES CORP        CL A           989207105         34,381      1,697       X        28-5284      1697

ZENITH NATL INS CORP           COM            989390109          9,787        310       X        28-5284                         310
                                                                15,248        483       X        28-11135      483

ZILOG INC                      COM PAR $0.01  989524301      1,126,673    388,508       X      X 28-5284              388508

ZIMMER HLDGS INC               COM            98956P102      9,231,443    228,388       X        28-5284    224167              4221
                                                             9,717,049    240,402       X      X 28-5284    214745       857   24800
                                                               130,557      3,230       X        28-4580      3230
                                                               371,743      9,197       X      X 28-4580      9046       151

ZIONS BANCORPORATION           COM            989701107          5,711        233       X        28-5284       233
                                                                44,608      1,820       X      X 28-5284       100              1720
               COLUMN TOTAL                                 50,524,202







                                                                                                                    FILE NO. 28-1235
PAGE 229 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ZOLTEK COS INC                 COM            98975W104          8,990      1,000       X        28-5284      1000
                                                                 3,596        400       X      X 28-5284       400

ZOOM TECHNOLOGIES INC DEL      COM NEW        98976E301          5,113     11,116       X      X 28-5284               11116

ZWEIG FD                       COM            989834106         14,780      5,132       X      X 28-5284                        5132

ZWEIG TOTAL RETURN FD INC      COM            989837109         48,761     14,469       X      X 28-5284      9256              5213

ZOLL MED CORP                  COM            989922109         26,446      1,400       X        28-5284      1400
                                                                   926         49       X        28-11135       49
               COLUMN TOTAL                                    108,612







PAGE 230 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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      9,065,812    276,481       X        28-12474   257625             18856
                                                             2,284,873     69,682       X      X 28-12474    63908      1799    3975
                                                                32,298        985       X        28-12474      985

COVIDIEN LTD                   COM            G2552X108          1,450         40       X        28-12474       40

INGERSOLL-RAND COMPANY LTD     CL A           G4776G101          2,169        125       X        28-12474      125

MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105          1,334        200       X        28-12474      200

NABORS INDUSTRIES LTD          SHS            G6359F103      1,228,481    102,630       X        28-12474    90780             11850
                                                                48,419      4,045       X      X 28-12474     4045

TYCO INTL LTD BERMUDA          SHS            G9143X208        253,627     11,742       X        28-12474    10367              1375
                                                                 1,879         87       X      X 28-12474       87

TYCO ELECTRONICS LTD           COM NEW        G9144P105            648         40       X        28-12474       40

WEATHERFORD INTERNATIONAL LT   COM            G95089101          1,082        100       X        28-12474      100

WILLIS GROUP HOLDINGS LTD      SHS            G96655108        700,621     28,160       X        28-12474    24805              3355
                                                                40,057      1,610       X      X 28-12474     1610

ACE LTD                        SHS            H0023R105         14,553        275       X        28-12474      275
                                                                 5,292        100       X      X 28-12474      100

ALCON INC                      COM SHS        H01301102          6,154         69       X        28-12474       69
                                                                 1,070         12       X      X 28-12474       12

CHECK POINT SOFTWARE TECH LT   ORD            M22465104          5,697        300       X        28-12474      300
                                                                 1,899        100       X      X 28-12474      100

FLEXTRONICS INTL LTD           ORD            Y2573F102        922,824    360,478       X        28-12474   315004             45474
                                                                28,040     10,953       X      X 28-12474    10953

ABB LTD                        SPONSORED ADR  000375204            705         47       X      X 28-12474       47

AFLAC INC                      COM            001055102        200,092      4,365       X        28-12474     3425               940
                                                                23,378        510       X      X 28-12474      510

AMB PROPERTY CORP              COM            00163T109        218,977      9,350       X        28-12474     9350
                                                                12,647        540       X      X 28-12474      540
               COLUMN TOTAL                                 15,104,078







PAGE 231 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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     16,793,027    589,229       X        28-12474   545106             44123
                                                             3,888,939    136,454       X      X 28-12474   124368      2847    9239
                                                                10,944        384       X        28-12474      384

ABBOTT LABS                    COM            002824100      1,069,428     20,038       X        28-12474    19320               718
                                                               168,542      3,158       X      X 28-12474     3158
                                                                10,781        202       X        28-12474      202

ABERCROMBIE & FITCH CO         CL A           002896207            161          7       X      X 28-12474        7

ADOBE SYS INC                  COM            00724F101          4,258        200       X        28-12474                        200

AETNA INC NEW                  COM            00817Y108        122,664      4,304       X        28-12474     3912               392
                                                                32,205      1,130       X      X 28-12474     1031                99

AKAMAI TECHNOLOGIES INC        COM            00971T101        876,276     58,070       X        28-12474    51170              6900
                                                                50,552      3,350       X      X 28-12474     3350

ALCOA INC                      COM            013817101        720,021     63,945       X        28-12474    55405              8540
                                                                27,159      2,412       X      X 28-12474     2412

ALEXANDRIA REAL ESTATE EQ IN   COM            015271109        522,544      8,660       X        28-12474     8660
                                                                30,170        500       X      X 28-12474      500

ALLEGHENY TECHNOLOGIES INC     COM            01741R102            153          6       X      X 28-12474        6

ALLERGAN INC                   COM            018490102      1,849,357     45,867       X        28-12474    44662              1205
                                                               297,884      7,388       X      X 28-12474     7388
                                                                19,112        474       X        28-12474      474

ALLSTATE CORP                  COM            020002101        456,642     13,939       X        28-12474    12499              1440
                                                               136,249      4,159       X      X 28-12474     3791               368

ALTRIA GROUP INC               COM            02209S103      1,814,504    120,485       X        28-12474   114661              5824
                                                               285,703     18,971       X      X 28-12474    17889              1082

AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105            248          8       X      X 28-12474        8

AMERICAN CAMPUS CMNTYS INC     COM            024835100        189,952      9,275       X        28-12474     9275
                                                                11,059        540       X      X 28-12474      540

AMERICAN EXPRESS CO            COM            025816109        560,655     30,224       X        28-12474    26734              3490
                                                                27,695      1,493       X      X 28-12474     1493
               COLUMN TOTAL                                 29,976,884







PAGE 232 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 INTL GROUP INC        COM            026874107        374,607    238,603       X        28-12474   207945             30658
                                                                16,085     10,245       X      X 28-12474    10245

AMERICAN TOWER CORP            CL A           029912201      6,012,213    205,055       X        28-12474   190742             14313
                                                             1,576,009     53,752       X      X 28-12474    49001      1499    3252
                                                                17,621        601       X        28-12474      601

AMGEN INC                      COM            031162100     12,924,335    223,798       X        28-12474   207392             16406
                                                             3,117,980     53,991       X      X 28-12474    49074      1367    3550
                                                                 9,818        170       X        28-12474      170

AMPHENOL CORP NEW              CL A           032095101      7,101,413    296,139       X        28-12474   277595             18544
                                                             1,674,308     69,821       X      X 28-12474    64236      1624    3961
                                                                20,719        864       X        28-12474      864

ANADARKO PETE CORP             COM            032511107         19,892        516       X        28-12474      516

ANNALY CAP MGMT INC            COM            035710409        511,173     32,210       X        28-12474    32210
                                                               436,425     27,500       X      X 28-12474    27500

ANTHRACITE CAP INC             COM            037023108        117,655     52,760       X      X 28-12474    52760

APACHE CORP                    COM            037411105         31,303        420       X        28-12474      395                25

APOLLO GROUP INC               CL A           037604105      1,098,118     14,332       X        28-12474    13959               373
                                                               176,073      2,298       X      X 28-12474     2298
                                                                11,263        147       X        28-12474      147

APPLE INC                      COM            037833100      7,250,824     84,954       X        28-12474    79510              5444
                                                             1,763,246     20,659       X      X 28-12474    19058       508    1093
                                                                29,702        348       X        28-12474      348

ARCHER DANIELS MIDLAND CO      COM            039483102          5,362        186       X        28-12474      186

ASHFORD HOSPITALITY TR INC     COM SHS        044103109         39,342     34,210       X      X 28-12474    34210

ATMOS ENERGY CORP              COM            049560105        151,680      6,400       X        28-12474     5718               682
                                                                46,689      1,970       X      X 28-12474     1796               174

AUTOZONE INC                   COM            053332102      1,521,060     10,906       X        28-12474    10382               524
                                                               240,028      1,721       X      X 28-12474     1626                95
               COLUMN TOTAL                                 46,294,943







PAGE 233 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AVALONBAY CMNTYS INC           COM            053484101        111,467      1,840       X        28-12474     1840
                                                                 6,664        110       X      X 28-12474      110

AVERY DENNISON CORP            COM            053611109        762,445     23,295       X        28-12474    20525              2770
                                                                 3,109         95       X      X 28-12474       95

BJ SVCS CO                     COM            055482103        411,157     35,232       X        28-12474    31019              4213
                                                                 1,097         94       X      X 28-12474       94

BP PLC                         SPONSORED ADR  055622104      3,078,857     65,872       X        28-12474    57741              8131
                                                               220,052      4,708       X      X 28-12474     4506               202

BAKER HUGHES INC               COM            057224107        199,796      6,230       X        28-12474     5120              1110
                                                                30,467        950       X      X 28-12474      950

BANK OF AMERICA CORPORATION    COM            060505104      7,979,558    566,730       X        28-12474   519237             47493
                                                             1,593,659    113,186       X      X 28-12474   103775      2302    7109
                                                                 3,830        272       X        28-12474      272

BANK OF NEW YORK MELLON CORP   COM            064058100        243,185      8,584       X        28-12474     7683               901
                                                                73,941      2,610       X      X 28-12474     2381               229

BARD C R INC                   COM            067383109      7,854,296     93,215       X        28-12474    85721              7494
                                                             2,261,201     26,836       X      X 28-12474    24140       842    1854
                                                                 8,679        103       X        28-12474      103

BARRICK GOLD CORP              COM            067901108        145,315      3,952       X        28-12474     3543               409
                                                                43,389      1,180       X      X 28-12474     1076               104

BAXTER INTL INC                COM            071813109     12,335,132    230,176       X        28-12474   214593             15583
                                                             3,122,207     58,261       X      X 28-12474    53187      1568    3506
                                                                32,743        611       X        28-12474      611

BECTON DICKINSON & CO          COM            075887109      7,327,578    107,144       X        28-12474    99803              7341
                                                             1,907,124     27,886       X      X 28-12474    25457       774    1655
                                                                22,842        334       X        28-12474      334

BED BATH & BEYOND INC          COM            075896100          2,542        100       X        28-12474      100

BEST BUY INC                   COM            086516101          1,406         50       X        28-12474                         50
                                                                 1,040         37       X      X 28-12474       37

BHP BILLITON LTD               SPONSORED ADR  088606108         13,857        323       X        28-12474      323
               COLUMN TOTAL                                 49,798,635







PAGE 234 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        149,805      3,583       X        28-12474     3194               389
                                                                47,120      1,127       X      X 28-12474     1027               100

BOEING CO                      COM            097023105          2,774         65       X        28-12474       65

BOSTON PROPERTIES INC          COM            101121101        678,975     12,345       X        28-12474    12345
                                                                39,600        720       X      X 28-12474      720

BOSTON SCIENTIFIC CORP         COM            101137107      1,199,646    154,993       X        28-12474   136150             18843
                                                                72,237      9,333       X      X 28-12474     9333

BOYD GAMING CORP               COM            103304101            473        100       X        28-12474      100

BRANDYWINE RLTY TR             SH BEN INT NEW 105368203         83,538     10,835       X        28-12474    10835
                                                                85,658     11,110       X      X 28-12474    11110

BRINKER INTL INC               COM            109641100        360,890     34,240       X        28-12474    30170              4070
                                                                 1,528        145       X      X 28-12474      145

BRISTOL MYERS SQUIBB CO        COM            110122108      8,390,181    360,868       X        28-12474   337200             23668
                                                             2,015,450     86,686       X      X 28-12474    79562      1910    5214
                                                                21,832        939       X        28-12474      939

BROOKFIELD PPTYS CORP          COM            112900105        157,421     20,365       X        28-12474    20365
                                                                 9,121      1,180       X      X 28-12474     1180

CBL & ASSOC PPTYS INC          COM            124830100        633,035     97,390       X        28-12474    89890              7500
                                                               132,958     20,455       X      X 28-12474    20455

CVS CAREMARK CORPORATION       COM            126650100      2,027,147     70,534       X        28-12474    67107              3427
                                                               319,100     11,103       X      X 28-12474    10480               623

CAMDEN PPTY TR                 SH BEN INT     133131102        161,088      5,140       X        28-12474     5140
                                                                 9,402        300       X      X 28-12474      300

CAPITAL ONE FINL CORP          COM            14040H105      2,842,738     89,142       X        28-12474    76815             12327
                                                               140,794      4,415       X      X 28-12474     4415

CAPITAL TRUST INC MD           CL A NEW       14052H506         27,720      7,700       X      X 28-12474     7700

CARDINAL HEALTH INC            COM            14149Y108          4,309        125       X        28-12474      125
                                                                 1,724         50       X      X 28-12474       50
               COLUMN TOTAL                                 19,616,264







PAGE 235 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CARNIVAL CORP                  PAIRED CTF     143658300          5,837        240       X        28-12474      240

CATERPILLAR INC DEL            COM            149123101          4,288         96       X        28-12474       96

CELANESE CORP DEL              COM SER A      150870103          1,243        100       X        28-12474      100

CEPHALON INC                   COM            156708109         10,786        140       X        28-12474      100                40

CHESAPEAKE ENERGY CORP         COM            165167107         10,252        634       X        28-12474      634

CHEVRON CORP NEW               COM            166764100      6,802,503     91,963       X        28-12474    86471              5492
                                                             1,265,109     17,103       X      X 28-12474    15975              1128

CHIPOTLE MEXICAN GRILL INC     CL B           169656204          4,755         83       X        28-12474       83

CHUBB CORP                     COM            171232101     12,460,473    244,323       X        28-12474   227044             17279
                                                             3,067,650     60,150       X      X 28-12474    54636      1488    4026
                                                                 9,282        182       X        28-12474      182

CIMAREX ENERGY CO              COM            171798101          1,071         40       X        28-12474       40

CISCO SYS INC                  COM            17275R102     15,636,623    959,302       X        28-12474   889220             70082
                                                             3,701,583    227,091       X      X 28-12474   208595      5790   12706
                                                                48,525      2,977       X        28-12474     2977

CITIGROUP INC                  COM            172967101      1,347,885    200,877       X        28-12474   175474             25403
                                                                50,929      7,590       X      X 28-12474     7590

COACH INC                      COM            189754104          1,475         71       X      X 28-12474       71

COCA COLA CO                   COM            191216100     10,636,639    234,960       X        28-12474   218962             15998
                                                             2,729,102     60,285       X      X 28-12474    55186      1578    3521
                                                                35,220        778       X        28-12474      778

CODORUS VY BANCORP INC         COM            192025104         17,096      2,137       X        28-12474     2137

COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102        213,650     11,830       X        28-12474    11830
                                                                28,842      1,597       X      X 28-12474     1597

COLDWATER CREEK INC            COM            193068103        388,598    136,350       X        28-12474   118257             18093
                                                                23,384      8,205       X      X 28-12474     8205
               COLUMN TOTAL                                 58,502,800







PAGE 236 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COLGATE PALMOLIVE CO           COM            194162103     15,643,844    228,244       X        28-12474   211786             16458
                                                             4,178,952     60,971       X      X 28-12474    55432      1754    3785
                                                                39,890        582       X        28-12474      582

COLONIAL PPTYS TR              COM SH BEN INT 195872106         70,555      8,470       X      X 28-12474     8470

COMCAST CORP NEW               CL A           20030N101      1,035,672     61,355       X        28-12474    51678              9677
                                                               134,230      7,952       X      X 28-12474     7560               392

COMCAST CORP NEW               CL A SPL       20030N200          4,231        262       X        28-12474      262
                                                                 2,423        150       X      X 28-12474      150

CONAGRA FOODS INC              COM            205887102          3,185        193       X        28-12474      193
                                                                34,073      2,065       X      X 28-12474     2065

CONOCOPHILLIPS                 COM            20825C104      1,959,957     37,837       X        28-12474    33875              3962
                                                               230,976      4,459       X      X 28-12474     4184               275

CONSOLIDATED EDISON INC        COM            209115104        234,981      6,036       X        28-12474     5392               644
                                                                72,410      1,860       X      X 28-12474     1696               164

CORNING INC                    COM            219350105        104,249     10,939       X        28-12474     9778              1161
                                                                31,706      3,327       X      X 28-12474     3031               296

CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        536,329     17,470       X        28-12474    17470
                                                                31,314      1,020       X      X 28-12474     1020

COSTCO WHSL CORP NEW           COM            22160K105          9,188        175       X        28-12474      175
                                                                 3,938         75       X      X 28-12474       75

COVANCE INC                    COM            222816100            598         13       X      X 28-12474       13

COVENTRY HEALTH CARE INC       COM            222862104      1,136,162     76,355       X        28-12474    66714              9641
                                                                59,654      4,009       X      X 28-12474     4009

CULLEN FROST BANKERS INC       COM            229899109      3,704,252     73,091       X        28-12474    69299              3792
                                                               617,434     12,183       X      X 28-12474    11454               729

CUMMINS INC                    COM            231021106         21,384        800       X      X 28-12474      800

DANAHER CORP DEL               COM            235851102        217,099      3,835       X        28-12474     2965               870
                                                                22,078        390       X      X 28-12474      390
               COLUMN TOTAL                                 30,140,764







PAGE 237 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DELL INC                       COM            24702R101        513,229     50,120       X        28-12474    43984              6136
                                                                 2,765        270       X      X 28-12474      270

DENTSPLY INTL INC NEW          COM            249030107      1,322,282     46,823       X        28-12474    45589              1234
                                                               213,381      7,556       X      X 28-12474     7556
                                                                13,583        481       X        28-12474      481

DEVELOPERS DIVERSIFIED RLTY    COM            251591103        163,016     33,405       X        28-12474    33405
                                                                15,201      3,115       X      X 28-12474     3115

DEVON ENERGY CORP NEW          COM            25179M103      6,559,829     99,830       X        28-12474    93312              6518
                                                             1,586,371     24,142       X      X 28-12474    22100       595    1447
                                                                15,770        240       X        28-12474      240

DIGITAL RLTY TR INC            COM            253868103        510,818     15,550       X        28-12474    15550
                                                                29,565        900       X      X 28-12474      900

DIRECTV GROUP INC              COM            25459L106        176,636      7,710       X        28-12474     6580              1130
                                                                26,117      1,140       X      X 28-12474     1140

DISNEY WALT CO                 COM DISNEY     254687106          9,348        412       X        28-12474      412
                                                                 1,770         78       X      X 28-12474       78

DISH NETWORK CORP              CL A           25470M109        147,109     13,265       X        28-12474    11675              1590
                                                                   665         60       X      X 28-12474       60

DOLBY LABORATORIES INC         COM            25659T107      1,781,849     54,391       X        28-12474    52968              1423
                                                               286,683      8,751       X      X 28-12474     8751
                                                                18,444        563       X        28-12474      563

DOLLAR TREE INC                COM            256746108      8,004,814    192,008       X        28-12474   178490             13518
                                                             1,957,137     46,945       X      X 28-12474    42625      1183    3137
                                                                 6,087        146       X        28-12474      146

DOMINION RES INC VA NEW        COM            25746U109        346,895      9,679       X        28-12474     8651              1028
                                                               106,947      2,984       X      X 28-12474     2725               259

DOUGLAS EMMETT INC             COM            25960P109         94,554      7,240       X        28-12474     7240
                                                                 5,485        420       X      X 28-12474      420

DOVER CORP                     COM            260003108      1,446,307     43,934       X        28-12474    38294              5640
                                                                80,654      2,450       X      X 28-12474     2450
               COLUMN TOTAL                                 25,443,311







PAGE 238 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DOW CHEM CO                    COM            260543103        647,965     42,940       X        28-12474    40190              2750
                                                                 1,660        110       X      X 28-12474      110

DU PONT E I DE NEMOURS & CO    COM            263534109      1,963,660     77,615       X        28-12474    73401              4214
                                                               337,806     13,352       X      X 28-12474    12528               824

DUKE REALTY CORP               COM NEW        264411505        116,505     10,630       X      X 28-12474    10630

E M C CORP MASS                COM            268648102        650,658     62,145       X        28-12474    53110              9035
                                                                80,200      7,660       X      X 28-12474     7660

EASTGROUP PPTY INC             COM            277276101        241,588      6,790       X        28-12474     6790
                                                                13,876        390       X      X 28-12474      390

EATON CORP                     COM            278058102      1,616,818     32,525       X        28-12474    28535              3990
                                                               124,225      2,499       X      X 28-12474     2395               104

EBAY INC                       COM            278642103        720,671     51,624       X        28-12474    45354              6270
                                                                32,387      2,320       X      X 28-12474     2320

ELECTRONIC ARTS INC            COM            285512109          4,411        275       X        28-12474       50               225

EMERSON ELEC CO                COM            291011104      8,230,843    224,825       X        28-12474   210308             14517
                                                             1,975,366     53,957       X      X 28-12474    49523      1297    3137
                                                                22,771        622       X        28-12474      622

ENBRIDGE ENERGY PARTNERS L P   COM            29250R106          3,188        125       X        28-12474      125

ENTERGY CORP NEW               COM            29364G103      2,541,949     30,578       X        28-12474    29119              1459
                                                               397,611      4,783       X      X 28-12474     4510               273

ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        220,818      7,410       X        28-12474     7410
                                                               398,128     13,360       X      X 28-12474    13360

EQUITY RESIDENTIAL             SH BEN INT     29476L107        441,783     14,815       X        28-12474    14815
                                                                25,347        850       X      X 28-12474      850

ESSEX PPTY TR INC              COM            297178105        284,743      3,710       X        28-12474     3710
                                                                16,885        220       X      X 28-12474      220

EXELON CORP                    COM            30161N101         97,039      1,745       X        28-12474      750               995
                                                                11,678        210       X      X 28-12474      210
               COLUMN TOTAL                                 21,220,579







PAGE 239 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EXXON MOBIL CORP               COM            30231G102     47,211,462    591,400       X        28-12474   548269             43131
                                                            11,531,763    144,454       X      X 28-12474   131507      3464    9483
                                                                55,881        700       X        28-12474      700

FPL GROUP INC                  COM            302571104         28,185        560       X        28-12474      560

FACTSET RESH SYS INC           COM            303075105      6,707,049    151,606       X        28-12474   139401             12205
                                                             1,933,067     43,695       X      X 28-12474    39320      1396    2979
                                                                 7,432        168       X        28-12474      168

FAMILY DLR STORES INC          COM            307000109        138,223      5,302       X        28-12474     4745               557
                                                                41,921      1,608       X      X 28-12474     1466               142

FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206        434,560      7,000       X        28-12474     7000
                                                                24,832        400       X      X 28-12474      400

FEDEX CORP                     COM            31428X106        682,299     10,636       X        28-12474     8996              1640
                                                                72,169      1,125       X      X 28-12474     1125

FELCOR LODGING TR INC          COM            31430F101         49,202     26,740       X        28-12474    26740
                                                                 2,852      1,550       X      X 28-12474     1550

FIDELITY NATIONAL FINANCIAL    CL A           31620R105        458,394     25,825       X        28-12474    22565              3260
                                                                31,240      1,760       X      X 28-12474     1760

FIRST INDUSTRIAL REALTY TRUS   COM            32054K103         47,339      6,270       X      X 28-12474     6270

FISERV INC                     COM            337738108            618         17       X      X 28-12474       17

FIRSTENERGY CORP               COM            337932107      8,730,166    179,707       X        28-12474   166371             13336
                                                             2,264,751     46,619       X      X 28-12474    42192      1257    3170
                                                                 7,287        150       X        28-12474      150

FRANKLIN RES INC               COM            354613101        341,542      5,355       X        28-12474     4550               805
                                                                62,186        975       X      X 28-12474      975

GAMESTOP CORP NEW              CL A           36467W109            390         18       X      X 28-12474       18

GAP INC DEL                    COM            364760108        306,497     22,890       X        28-12474    20445              2445
                                                                94,466      7,055       X      X 28-12474     6431               624
               COLUMN TOTAL                                 81,265,773







PAGE 240 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 DYNAMICS CORP          COM            369550108      9,031,725    156,828       X        28-12474   146983              9845
                                                             2,019,278     35,063       X      X 28-12474    32332       757    1974
                                                                23,209        403       X        28-12474      403

GENERAL ELECTRIC CO            COM            369604103      5,207,895    321,475       X        28-12474   292942             28533
                                                               649,863     40,115       X      X 28-12474    37729              2386

GENERAL MLS INC                COM            370334104      9,365,159    154,159       X        28-12474   144563              9596
                                                             2,139,797     35,223       X      X 28-12474    32460       734    2029
                                                                24,118        397       X        28-12474      397

GENZYME CORP                   COM            372917104      2,972,248     44,783       X        28-12474    43026              1757
                                                               461,537      6,954       X      X 28-12474     6954
                                                                25,685        387       X        28-12474      387

GETTY RLTY CORP NEW            COM            374297109        286,205     13,590       X      X 28-12474    13590

GILEAD SCIENCES INC            COM            375558103      2,073,829     40,552       X        28-12474    39489              1063
                                                               374,089      7,315       X      X 28-12474     7315
                                                                21,581        422       X        28-12474      422

GILDAN ACTIVEWEAR INC          COM            375916103        850,366     72,310       X        28-12474    61760             10550
                                                                62,798      5,340       X      X 28-12474     5340

GLADSTONE COML CORP            COM            376536108         86,445     10,170       X      X 28-12474    10170

GLATFELTER                     COM            377316104            465         50       X        28-12474       50

GLIMCHER RLTY TR               SH BEN INT     379302102         41,419     14,740       X      X 28-12474    14740

GOLDMAN SACHS GROUP INC        COM            38141G104      8,445,920    100,082       X        28-12474    92245              7837
                                                             2,139,371     25,351       X      X 28-12474    22962       705    1684
                                                                 7,173         85       X        28-12474       85

GOODRICH CORP                  COM            382388106        312,264      8,435       X        28-12474     7035              1400
                                                                29,135        787       X      X 28-12474      787

GOOGLE INC                     CL A           38259P508        515,006      1,674       X        28-12474     1524               150
                                                                70,760        230       X      X 28-12474      230

GRAMERCY CAP CORP              COM            384871109         41,350     32,305       X        28-12474    32305
                                                                41,272     32,244       X      X 28-12474    32244
               COLUMN TOTAL                                 47,319,962







PAGE 241 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HCC INS HLDGS INC              COM            404132102        134,499      5,028       X        28-12474     4449               579
                                                                 1,873         70       X      X 28-12474       70

HCP INC                        COM            40414L109        542,209     19,525       X        28-12474    19525
                                                                31,380      1,130       X      X 28-12474     1130

HRPT PPTYS TR                  COM SH BEN INT 40426W101        160,075     47,500       X      X 28-12474    47500

HALLIBURTON CO                 COM            406216101        294,243     16,185       X        28-12474    14145              2040
                                                                32,342      1,779       X      X 28-12474     1779

HANSEN NAT CORP                COM            411310105        307,973      9,185       X        28-12474     9185
                                                                39,565      1,180       X      X 28-12474     1180

HARTFORD FINL SVCS GROUP INC   COM            416515104        946,268     57,629       X        28-12474    50770              6859
                                                                 3,284        200       X      X 28-12474      200

HASBRO INC                     COM            418056107      8,845,073    303,225       X        28-12474   283601             19624
                                                             2,155,342     73,889       X      X 28-12474    67826      1794    4269
                                                                27,011        926       X        28-12474      926

HEALTH MGMT ASSOC INC NEW      CL A           421933102        227,815    127,271       X        28-12474   112331             14940
                                                                 1,253        700       X      X 28-12474      700

HEALTH CARE REIT INC           COM            42217K106      1,791,348     42,449       X        28-12474    40063              2386
                                                               316,964      7,511       X      X 28-12474     7036               475

HEINZ H J CO                   COM            423074103      8,191,724    217,865       X        28-12474   203856             14009
                                                             1,899,778     50,526       X      X 28-12474    46340      1134    3052
                                                                15,604        415       X        28-12474      415

HERSHA HOSPITALITY TR          SH BEN INT A   427825104         55,905     18,635       X        28-12474    18635
                                                                 3,240      1,080       X      X 28-12474     1080

HEWLETT PACKARD CO             COM            428236103     16,948,591    467,032       X        28-12474   436073             30959
                                                             4,228,003    116,506       X      X 28-12474   106759      2995    6752
                                                                52,112      1,436       X        28-12474     1436

HOME DEPOT INC                 COM            437076102      1,580,553     68,660       X        28-12474    59570              9090
                                                                84,599      3,675       X      X 28-12474     3675

HONEYWELL INTL INC             COM            438516106        217,729      6,632       X        28-12474     5925               707
                                                                67,006      2,041       X      X 28-12474     1861               180
               COLUMN TOTAL                                 49,203,361







PAGE 242 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        463,647     31,180       X      X 28-12474    31180

HOST HOTELS & RESORTS INC      COM            44107P104        387,047     51,129       X        28-12474    51129
                                                                37,676      4,977       X      X 28-12474     4977

HUDSON CITY BANCORP            COM            443683107     11,141,261    698,074       X        28-12474   647203             50871
                                                             2,834,783    177,618       X      X 28-12474   161011      4636   11971
                                                                 9,081        569       X        28-12474      569

ITT CORP NEW                   COM            450911102     10,536,125    229,096       X        28-12474   213420             15676
                                                             2,622,580     57,025       X      X 28-12474    51991      1498    3536
                                                                21,891        476       X        28-12474      476

INTEL CORP                     COM            458140100      8,431,039    575,105       X        28-12474   533887             41218
                                                             1,753,717    119,626       X      X 28-12474   111019      2611    5996
                                                                33,835      2,308       X        28-12474     2308

INTERNATIONAL BUSINESS MACHS   COM            459200101     10,299,501    122,380       X        28-12474   115679              6701
                                                             2,214,839     26,317       X      X 28-12474    24563       464    1290
                                                                42,669        507       X        28-12474      507

INTUITIVE SURGICAL INC         COM NEW        46120E602            508          4       X      X 28-12474        4

ISHARES TR                     S&P 500 INDEX  464287200      4,374,887     48,443       X        28-12474    48443
                                                               770,525      8,532       X      X 28-12474     7012              1520

ISHARES TR                     RUSSELL MCP VL 464287473      1,904,940     66,981       X        28-12474    66981

ISHARES TR                     RUSSELL MIDCAP 464287499         87,729      1,469       X        28-12474     1469

ISHARES TR                     RUSSELL1000VAL 464287598        465,983      9,410       X        28-12474     9410
                                                               148,411      2,997       X      X 28-12474     2997

ISHARES TR                     RUSSELL1000GRW 464287614        590,773     15,941       X        28-12474    15941

JPMORGAN & CHASE & CO          COM            46625H100     15,264,934    484,140       X        28-12474   446438             37702
                                                             3,761,056    119,285       X      X 28-12474   108177      2973    8135
                                                                13,148        417       X        28-12474      417

JABIL CIRCUIT INC              COM            466313103      1,175,094    174,088       X        28-12474   152123             21965
                                                                47,608      7,053       X      X 28-12474     7053

JACOBS ENGR GROUP INC DEL      COM            469814107          1,106         23       X      X 28-12474       23
               COLUMN TOTAL                                 79,436,393







PAGE 243 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JOHNSON & JOHNSON              COM            478160104     19,558,307    326,898       X        28-12474   303760             23138
                                                             4,955,360     82,824       X      X 28-12474    75447      2054    5323
                                                                35,719        597       X        28-12474      597

KEYCORP NEW                    COM            493267108          3,008        353       X        28-12474      353

KILROY RLTY CORP               COM            49427F108         13,049        390       X      X 28-12474      390

KIMBERLY CLARK CORP            COM            494368103        316,018      5,992       X        28-12474     5379               613
                                                                93,403      1,771       X      X 28-12474     1614               157

KIMCO REALTY CORP              COM            49446R109        634,225     34,695       X        28-12474    34695
                                                               289,555     15,840       X      X 28-12474    15840

KINETIC CONCEPTS INC           COM NEW        49460W208      1,330,229     69,355       X        28-12474    60705              8650
                                                                65,020      3,390       X      X 28-12474     3390

KOHLS CORP                     COM            500255104      1,359,491     37,555       X        28-12474    32340              5215
                                                                79,097      2,185       X      X 28-12474     2185

KRAFT FOODS INC                CL A           50075N104        500,430     18,638       X        28-12474    16679              1959
                                                               151,085      5,627       X      X 28-12474     5130               497

LASALLE HOTEL PPTYS            COM SH BEN INT 517942108        113,207     10,245       X        28-12474    10245
                                                                 6,520        590       X      X 28-12474      590

LEXINGTON REALTY TRUST         COM            529043101        160,300     32,060       X      X 28-12474    32060

LIFE TECHNOLOGIES CORP         COM            53217V109      1,081,980     46,417       X        28-12474    45198              1219
                                                               174,802      7,499       X      X 28-12474     7499
                                                                11,142        478       X        28-12474      478

LILLY ELI & CO                 COM            532457108      2,492,028     61,883       X        28-12474    57961              3922
                                                               394,284      9,791       X      X 28-12474     9165               626

LOCKHEED MARTIN CORP           COM            539830109      8,800,065    104,663       X        28-12474    97187              7476
                                                             2,314,134     27,523       X      X 28-12474    25011       785    1727
                                                                24,215        288       X        28-12474      288

LOWES COS INC                  COM            548661107        529,048     24,584       X        28-12474    21976              2608
                                                                85,176      3,958       X      X 28-12474     3615               343
               COLUMN TOTAL                                 45,570,897







PAGE 244 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        230,895      6,345       X        28-12474     5673               672
                                                                70,487      1,937       X      X 28-12474     1767               170

MACERICH CO                    COM            554382101        295,282     16,260       X        28-12474    16260
                                                               311,262     17,140       X      X 28-12474    17140

MACK CALI RLTY CORP            COM            554489104        173,705      7,090       X        28-12474     7090
                                                               352,310     14,380       X      X 28-12474    14380

MACYS INC                      COM            55616P104          4,451        430       X        28-12474      430

MARATHON OIL CORP              COM            565849106        214,448      7,838       X        28-12474     7006               832
                                                                65,226      2,384       X      X 28-12474     2174               210

MARRIOTT INTL INC NEW          CL A           571903202            389         20       X      X 28-12474       20

MASCO CORP                     COM            574599106        617,659     55,495       X        28-12474    49375              6120
                                                                29,940      2,690       X      X 28-12474     2690

MASTERCARD INC                 CL A           57636Q104      8,517,627     59,593       X        28-12474    55276              4317
                                                             2,282,306     15,968       X      X 28-12474    14511       459     998
                                                                22,011        154       X        28-12474      154

MATTEL INC                     COM            577081102        269,264     16,829       X        28-12474    15038              1791
                                                                82,320      5,145       X      X 28-12474     4689               456

MAXIM INTEGRATED PRODS INC     COM            57772K101      2,298,789    201,295       X        28-12474   175725             25570
                                                               100,211      8,775       X      X 28-12474     8775

MCDONALDS CORP                 COM            580135101     17,283,596    277,916       X        28-12474   259539             18377
                                                             4,250,251     68,343       X      X 28-12474    62503      1669    4171
                                                                36,692        590       X        28-12474      590

MCGRAW HILL COS INC            COM            580645109            255         11       X      X 28-12474       11

MCKESSON CORP                  COM            58155Q103      6,207,257    160,270       X        28-12474   148695             11575
                                                             1,549,200     40,000       X      X 28-12474    36333       974    2693
                                                                 4,648        120       X        28-12474      120

MEDCO HEALTH SOLUTIONS INC     COM            58405U102      6,596,969    157,408       X        28-12474   146244             11164
                                                             1,747,396     41,694       X      X 28-12474    37917      1215    2562
                                                                18,105        432       X        28-12474      432
               COLUMN TOTAL                                 53,632,951







PAGE 245 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MEDICAL PPTYS TRUST INC        COM            58463J304        122,584     19,427       X        28-12474    19427
                                                               153,251     24,287       X      X 28-12474    24287

MEDTRONIC INC                  COM            585055106         15,553        495       X        28-12474      300               195
                                                                 1,571         50       X      X 28-12474       50

MERCK & CO INC                 COM            589331107        219,275      7,213       X        28-12474     6447               766
                                                                67,123      2,208       X      X 28-12474     2014               194

MERRILL LYNCH & CO INC         COM            590188108        524,405     45,052       X        28-12474    38719              6333
                                                                24,619      2,115       X      X 28-12474     2115

MICROSOFT CORP                 COM            594918104     19,676,138  1,012,147       X        28-12474   939873             72274
                                                             4,641,786    238,775       X      X 28-12474   219435      6141   13199
                                                                68,993      3,549       X        28-12474     3549

MICROCHIP TECHNOLOGY INC       COM            595017104        159,658      8,175       X        28-12474     6995              1180
                                                                21,483      1,100       X      X 28-12474     1100

MID-AMER APT CMNTYS INC        COM            59522J103        122,814      3,305       X        28-12474     3305
                                                                 7,432        200       X      X 28-12474      200

MONSANTO CO NEW                COM            61166W101      5,659,939     80,454       X        28-12474    75455              4999
                                                             1,388,850     19,742       X      X 28-12474    18190       494    1058
                                                                23,989        341       X        28-12474      341

MOODYS CORP                    COM            615369105          4,018        200       X        28-12474                        200
                                                                52,314      2,604       X      X 28-12474     2604

MORGAN STANLEY                 COM NEW        617446448        817,318     50,955       X        28-12474    45245              5710
                                                                32,401      2,020       X      X 28-12474     2020

MOTOROLA INC                   COM            620076109        480,854    108,545       X        28-12474    97935             10610
                                                                13,622      3,075       X      X 28-12474     3075

NALCO HOLDING COMPANY          COM            62985Q101         78,010      6,760       X        28-12474     6760
                                                                15,233      1,320       X      X 28-12474     1320

NATIONAL OILWELL VARCO INC     COM            637071101        677,990     27,741       X        28-12474    27007               734
                                                               109,173      4,467       X      X 28-12474     4467
                                                                 7,136        292       X        28-12474      292

NATIONAL RETAIL PROPERTIES I   COM            637417106        347,410     20,210       X      X 28-12474    20210
               COLUMN TOTAL                                 35,534,942







PAGE 246 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NATIONWIDE HEALTH PPTYS INC    COM            638620104        232,201      8,085       X        28-12474     8085
                                                                13,211        460       X      X 28-12474      460

NEWCASTLE INVT CORP            COM            65105M108         24,763     29,480       X      X 28-12474    29480

NEWMONT MINING CORP            COM            651639106          6,186        152       X        28-12474      152

NEWS CORP                      CL A           65248E104      1,277,190    140,505       X        28-12474   124105             16400
                                                                80,565      8,863       X      X 28-12474     8863

NEWS CORP                      CL B           65248E203         27,035      2,822       X        28-12474     2822

NIKE INC                       CL B           654106103     12,751,530    250,030       X        28-12474   232124             17906
                                                             3,391,143     66,493       X      X 28-12474    60405      1938    4150
                                                                34,629        679       X        28-12474      679

NOKIA CORP                     SPONSORED ADR  654902204          2,730        175       X        28-12474      175
                                                                16,770      1,075       X      X 28-12474     1075

NOBLE ENERGY INC               COM            655044105         17,227        350       X        28-12474      350

NORFOLK SOUTHERN CORP          COM            655844108      5,998,875    127,500       X        28-12474   119021              8479
                                                             1,525,267     32,418       X      X 28-12474    29715       836    1867
                                                                21,408        455       X        28-12474      455

NORTEL NETWORKS CORP NEW       COM NEW        656568508             11         43       X        28-12474       43
                                                                     0          1       X      X 28-12474        1

NORTHERN TR CORP               COM            665859104     12,008,468    230,312       X        28-12474   214293             16019
                                                             2,976,151     57,080       X      X 28-12474    51902      1499    3679
                                                                20,387        391       X        28-12474      391

NORTHROP GRUMMAN CORP          COM            666807102        218,669      4,855       X        28-12474     4350               505
                                                                65,443      1,453       X      X 28-12474     1325               128

NORTHSTAR RLTY FIN CORP        COM            66704R100         93,684     23,960       X      X 28-12474    23960

NOVARTIS A G                   SPONSORED ADR  66987V109        596,971     11,997       X        28-12474    10247              1750
                                                                77,128      1,550       X      X 28-12474     1550

NSTAR                          COM            67019E107      3,570,948     97,861       X        28-12474    93761              4100
                                                               612,959     16,798       X      X 28-12474    16232               566
                                                                19,048        522       X        28-12474      522
               COLUMN TOTAL                                 45,680,597







PAGE 247 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NVIDIA CORP                    COM            67066G104            492         61       X        28-12474       61

OCCIDENTAL PETE CORP DEL       COM            674599105     11,535,777    192,295       X        28-12474   179113             13182
                                                             2,904,356     48,414       X      X 28-12474    44098      1326    2990
                                                                25,916        432       X        28-12474      432

OMNICARE INC                   COM            681904108        999,887     36,019       X        28-12474    30484              5535
                                                                82,697      2,979       X      X 28-12474     2979

OMNICOM GROUP INC              COM            681919106            458         17       X      X 28-12474       17

OMEGA HEALTHCARE INVS INC      COM            681936100        358,207     22,430       X        28-12474    22430
                                                                20,761      1,300       X      X 28-12474     1300

ORACLE CORP                    COM            68389X105     16,579,199    935,093       X        28-12474   867192             67901
                                                             4,355,144    245,637       X      X 28-12474   224027      6784   14826
                                                                47,641      2,687       X        28-12474     2687

OSHKOSH CORP                   COM            688239201      1,063,760    119,658       X        28-12474   105078             14580
                                                                48,015      5,401       X      X 28-12474     5401

PNC FINL SVCS GROUP INC        COM            693475105         20,972        428       X        28-12474      428

PPG INDS INC                   COM            693506107        157,415      3,710       X        28-12474     3318               392
                                                                47,946      1,130       X      X 28-12474     1031                99

PARKER HANNIFIN CORP           COM            701094104             43          1       X      X 28-12474        1

PATTERSON UTI ENERGY INC       COM            703481101        484,652     42,107       X        28-12474    37181              4926
                                                                31,687      2,753       X      X 28-12474     2520               233

PAYCHEX INC                    COM            704326107          4,599        175       X        28-12474      175
                                                                 1,971         75       X      X 28-12474       75

PEABODY ENERGY CORP            COM            704549104          5,688        250       X        28-12474      200                50

PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107         66,827      8,970       X        28-12474     8970
                                                                 3,800        510       X      X 28-12474      510

PEOPLES UNITED FINANCIAL INC   COM            712704105      1,784,658    100,093       X        28-12474    94692              5401
                                                               305,196     17,117       X      X 28-12474    16065              1052
               COLUMN TOTAL                                 40,937,764







PAGE 248 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PEPSIAMERICAS INC              COM            71343P200        203,315      9,986       X        28-12474     8928              1058
                                                                62,179      3,054       X      X 28-12474     2785               269

PEPSICO INC                    COM            713448108     12,500,705    228,240       X        28-12474   211361             16879
                                                             3,255,310     59,436       X      X 28-12474    54171      1657    3608
                                                                33,903        619       X        28-12474      619

PFIZER INC                     COM            717081103     13,527,872    763,855       X        28-12474   700943             62912
                                                             2,547,584    143,850       X      X 28-12474   131666      2677    9507
                                                                 8,324        470       X        28-12474      470

PHARMACEUTICAL PROD DEV INC    COM            717124101        183,053      6,310       X        28-12474     5490               820
                                                                24,949        860       X      X 28-12474      860

PHILIP MORRIS INTL INC         COM            718172109      3,719,670     85,490       X        28-12474    82610              2880
                                                               648,647     14,908       X      X 28-12474    14697               211
                                                                35,156        808       X        28-12474      808

POST PPTYS INC                 COM            737464107         53,460      3,240       X        28-12474     3240
                                                                 3,135        190       X      X 28-12474      190

POTASH CORP SASK INC           COM            73755L107            586          8       X      X 28-12474        8

PRAXAIR INC                    COM            74005P104      6,055,967    102,021       X        28-12474    94975              7046
                                                             1,594,113     26,855       X      X 28-12474    24559       730    1566
                                                                18,817        317       X        28-12474      317

PRECISION CASTPARTS CORP       COM            740189105            535          9       X      X 28-12474        9

PROCTER & GAMBLE CO            COM            742718109     24,207,043    391,573       X        28-12474   364469             27104
                                                             5,850,707     94,641       X      X 28-12474    86483      2319    5839
                                                                40,925        662       X        28-12474      662

PROGRESS ENERGY INC            COM            743263105        350,282      8,790       X        28-12474     7857               933
                                                               109,030      2,736       X      X 28-12474     2495               241

PROLOGIS                       SH BEN INT     743410102        386,350     27,815       X        28-12474    27815
                                                                22,224      1,600       X      X 28-12474     1600

PUBLIC STORAGE                 COM            74460D109        494,490      6,220       X        28-12474     6220
                                                                28,620        360       X      X 28-12474      360
               COLUMN TOTAL                                 75,966,951







PAGE 249 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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     10,530,652    293,906       X        28-12474   273358             20548
                                                             2,617,704     73,059       X      X 28-12474    66892      1957    4210
                                                                35,830      1,000       X        28-12474     1000

QUESTAR CORP                   COM            748356102        241,318      7,382       X        28-12474     6603               779
                                                                73,487      2,248       X      X 28-12474     2050               198

QWEST COMMUNICATIONS INTL IN   COM            749121109             29          8       X      X 28-12474        8

RAYTHEON CO                    COM NEW        755111507      5,103,030     99,981       X        28-12474    91595              8386
                                                             1,439,889     28,211       X      X 28-12474    25402       878    1931
                                                                 5,512        108       X        28-12474      108

REDWOOD TR INC                 COM            758075402        102,506      6,875       X      X 28-12474     6875

REGENCY CTRS CORP              COM            758849103        718,713     15,390       X        28-12474    15390
                                                                41,563        890       X      X 28-12474      890

ROCKWELL COLLINS INC           COM            774341101        179,032      4,580       X        28-12474     4580
                                                                23,180        593       X      X 28-12474      593

ROGERS COMMUNICATIONS INC      CL B           775109200        257,334      8,555       X        28-12474     7735               820
                                                                35,194      1,170       X      X 28-12474     1170

ROSS STORES INC                COM            778296103     11,125,471    374,217       X        28-12474   350006             24211
                                                             2,669,724     89,799       X      X 28-12474    82369      2165    5265
                                                                28,927        973       X        28-12474      973

ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206          5,294        100       X        28-12474      100

SL GREEN RLTY CORP             COM            78440X101        411,862     15,902       X        28-12474    15902
                                                               376,949     14,554       X      X 28-12474    14554

SPDR TR                        UNIT SER 1     78462F103         79,140        877       X        28-12474      877
                                                                81,216        900       X      X 28-12474      900

ST JUDE MED INC                COM            790849103      8,621,908    261,587       X        28-12474   243433             18154
                                                             2,243,884     68,079       X      X 28-12474    62133      1875    4071
                                                                26,401        801       X        28-12474      801

SANDISK CORP                   COM            80004C101        270,115     28,137       X        28-12474    24243              3894
                                                                18,778      1,956       X      X 28-12474     1956
               COLUMN TOTAL                                 47,364,642







PAGE 250 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SARA LEE CORP                  COM            803111103        207,088     21,153       X        28-12474    19011              2142
                                                                60,502      6,180       X      X 28-12474     5637               543

SCHLUMBERGER LTD               COM            806857108      4,379,589    103,463       X        28-12474    96266              7197
                                                             1,131,989     26,742       X      X 28-12474    24407       743    1592
                                                                13,588        321       X        28-12474      321

SCHWAB CHARLES CORP NEW        COM            808513105      1,176,869     72,781       X        28-12474    70858              1923
                                                               189,674     11,730       X      X 28-12474    11730
                                                                12,354        764       X        28-12474      764

SCRIPPS E W CO OHIO            CL A NEW       811054402            420        190       X        28-12474      190

SCRIPPS NETWORKS INTERACT IN   CL A COM       811065101            550         25       X        28-12474       25

SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803         17,691      1,148       X      X 28-12474     1148

SENIOR HSG PPTYS TR            SH BEN INT     81721M109        403,738     22,530       X      X 28-12474    22530

SIMON PPTY GROUP INC NEW       COM            828806109      1,166,469     21,955       X        28-12474    21955
                                                               132,294      2,490       X      X 28-12474     2490

SMITH INTL INC                 COM            832110100            229         10       X        28-12474       10
                                                                   618         27       X      X 28-12474       27

SMUCKER J M CO                 COM NEW        832696405        186,491      4,301       X        28-12474     3831               470
                                                                58,579      1,351       X      X 28-12474     1235               116

SONIC CORP                     COM            835451105        186,262     15,305       X        28-12474    13165              2140
                                                                25,314      2,080       X      X 28-12474     2080

SONOCO PRODS CO                COM            835495102        368,985     15,932       X        28-12474    13712              2220
                                                                26,402      1,140       X      X 28-12474     1140

SOUTHERN CO                    COM            842587107     14,149,540    382,420       X        28-12474   354675             27745
                                                             3,595,586     97,178       X      X 28-12474    88071      2604    6503
                                                                11,877        321       X        28-12474      321

SPRINT NEXTEL CORP             COM SER 1      852061100        164,973     90,149       X        28-12474    79528             10621
                                                                   522        285       X      X 28-12474      285

STAPLES INC                    COM            855030102         21,020      1,173       X        28-12474     1173
               COLUMN TOTAL                                 27,689,213







PAGE 251 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STARBUCKS CORP                 COM            855244109        611,504     64,641       X        28-12474    55866              8775
                                                                48,624      5,140       X      X 28-12474     5140

STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        123,421      6,895       X        28-12474     6895
                                                                 7,071        395       X      X 28-12474      395

STATE STR CORP                 COM            857477103      8,280,381    210,536       X        28-12474   194919             15617
                                                             2,097,351     53,327       X      X 28-12474    48214      1448    3665
                                                                 6,725        171       X        28-12474      171

STMICROELECTRONICS N V         NY REGISTRY    861012102        459,914     69,160       X        28-12474    59940              9220
                                                                25,071      3,770       X      X 28-12474     3770

STRATEGIC HOTELS & RESORTS I   COM            86272T106         26,216     15,605       X        28-12474    15605
                                                                 1,512        900       X      X 28-12474      900

STRYKER CORP                   COM            863667101        407,890     10,210       X        28-12474     8640              1570
                                                                61,124      1,530       X      X 28-12474     1530

SUNSTONE HOTEL INVS INC NEW    COM            867892101         65,862     10,640       X        28-12474    10640
                                                                 3,838        620       X      X 28-12474      620

SUNTRUST BKS INC               COM            867914103          6,322        214       X        28-12474      214

SUSQUEHANNA BANCSHARES INC P   COM            869099101          4,709        296       X        28-12474      296

SYMANTEC CORP                  COM            871503108        307,512     22,745       X        28-12474    19309              3436
                                                                22,578      1,670       X      X 28-12474     1670

SYSCO CORP                     COM            871829107        239,104     10,423       X        28-12474     9435               988
                                                                65,425      2,852       X      X 28-12474     2602               250

TANGER FACTORY OUTLET CTRS I   COM            875465106        199,386      5,300       X        28-12474     5300
                                                                11,662        310       X      X 28-12474      310

TARGET CORP                    COM            87612E106        367,745     10,650       X        28-12474     9190              1460
                                                                48,687      1,410       X      X 28-12474     1410

TAUBMAN CTRS INC               COM            876664103        221,629      8,705       X        28-12474     8705
                                                                12,730        500       X      X 28-12474      500

TELEFLEX INC                   COM            879369106        179,609      3,585       X        28-12474     3165               420
                                                                 1,503         30       X      X 28-12474       30
               COLUMN TOTAL                                 13,915,105







PAGE 252 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TEXAS INSTRS INC               COM            882508104        415,905     26,798       X        28-12474    23263              3535
                                                                41,671      2,685       X      X 28-12474     2685

TEXTRON INC                    COM            883203101            305         22       X        28-12474       22

3M CO                          COM            88579Y101          5,581         97       X        28-12474       97

TIDEWATER INC                  COM            886423102      1,334,145     33,130       X        28-12474    29270              3860
                                                                77,721      1,930       X      X 28-12474     1930

TIME WARNER INC                COM            887317105        768,986     76,440       X        28-12474    67205              9235
                                                                 2,364        235       X      X 28-12474      235

TRAVELERS COMPANIES INC        COM            89417E109        422,846      9,355       X        28-12474     8371               984
                                                               128,413      2,841       X      X 28-12474     2590               251

UDR INC                        COM            902653104        206,367     14,965       X        28-12474    14965
                                                                11,859        860       X      X 28-12474      860

US BANCORP DEL                 COM NEW        902973304      2,329,081     93,126       X        28-12474    87432              5694
                                                               440,051     17,595       X      X 28-12474    16397              1198

URS CORP NEW                   COM            903236107      1,135,893     27,861       X        28-12474    27129               732
                                                               182,609      4,479       X      X 28-12474     4479
                                                                11,701        287       X        28-12474      287

UNILEVER PLC                   SPON ADR NEW   904767704        268,459     11,662       X        28-12474    10557              1105
                                                                33,264      1,445       X      X 28-12474     1445

UNION PAC CORP                 COM            907818108     10,070,647    210,683       X        28-12474   196788             13895
                                                             2,462,704     51,521       X      X 28-12474    47202      1280    3039
                                                                26,959        564       X        28-12474      564

UNITED PARCEL SERVICE INC      CL B           911312106          5,516        100       X        28-12474      100

U STORE IT TR                  COM            91274F104         66,350     14,910       X        28-12474    14910
                                                                49,440     11,110       X      X 28-12474    11110

UNITED TECHNOLOGIES CORP       COM            913017109      8,739,105    163,043       X        28-12474   152395             10648
                                                             2,243,750     41,861       X      X 28-12474    38836       839    2186
                                                                27,122        506       X        28-12474      506
               COLUMN TOTAL                                 31,508,814







PAGE 253 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UNITEDHEALTH GROUP INC         COM            91324P102        528,276     19,860       X        28-12474    17470              2390
                                                                 3,458        130       X      X 28-12474      130

URBAN OUTFITTERS INC           COM            917047102          7,490        500       X        28-12474      350               150

VALERO ENERGY CORP NEW         COM            91913Y100          5,951        275       X        28-12474      275

VALSPAR CORP                   COM            920355104        283,470     15,670       X        28-12474    14580              1090
                                                                15,557        860       X      X 28-12474      860

VANGUARD WORLD FDS             INF TECH ETF   92204A702         35,037      1,029       X      X 28-12474     1029

VANGUARD INTL EQUITY INDEX F   EMR MKT ETF    922042858      1,124,760     47,720       X        28-12474    47720

VANGUARD INTL EQUITY INDEX F   PACIFIC ETF    922042866        589,992     13,464       X        28-12474    13464

VANGUARD INTL EQUITY INDEX F   EURPEAN ETF    922042874        632,940     16,500       X        28-12474    16500

VECTREN CORP                   COM            92240G101         33,338      1,333       X        28-12474     1333

VENTAS INC                     COM            92276F100        445,810     13,280       X        28-12474    13280
                                                                25,849        770       X      X 28-12474      770

VANGUARD INDEX FDS             SML CP GRW ETF 922908595        445,208     10,575       X        28-12474    10575

VERIZON COMMUNICATIONS INC     COM            92343V104      9,662,144    285,019       X        28-12474   264173             20846
                                                             2,339,914     69,024       X      X 28-12474    62810      1443    4771
                                                                 6,034        178       X        28-12474      178

VISA INC                       COM CL A       92826C839      1,120,542     21,364       X        28-12474    20806               558
                                                               179,694      3,426       X      X 28-12474     3426
                                                                11,434        218       X        28-12474      218

VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209        619,005     30,284       X        28-12474    26699              3585
                                                                 2,780        136       X      X 28-12474      136

VORNADO RLTY TR                SH BEN INT     929042109        837,960     13,885       X        28-12474    13885
                                                                79,059      1,310       X      X 28-12474     1310

WACHOVIA CORP NEW              COM            929903102         33,290      6,009       X        28-12474     6009
                                                                    11          2       X      X 28-12474        2
               COLUMN TOTAL                                 19,069,003







PAGE 254 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WAL MART STORES INC            COM            931142103     19,423,389    346,475       X        28-12474   322049             24426
                                                             5,092,378     90,838       X      X 28-12474    82704      2526    5608
                                                                56,789      1,013       X        28-12474     1013

WALGREEN CO                    COM            931422109      1,584,110     64,212       X        28-12474    56287              7925
                                                               107,808      4,370       X      X 28-12474     4370

WEINGARTEN RLTY INVS           SH BEN INT     948741103        141,520      6,840       X        28-12474     6840
                                                               273,315     13,210       X      X 28-12474    13210

WELLPOINT INC                  COM            94973V107          4,213        100       X        28-12474                        100
                                                                   421         10       X      X 28-12474       10

WELLS FARGO & CO NEW           COM            949746101      3,847,523    130,513       X        28-12474   122555              7958
                                                               711,736     24,143       X      X 28-12474    22550              1593

WHOLE FOODS MKT INC            COM            966837106          2,124        225       X        28-12474      200                25

WISDOMTREE TRUST               INTL SMCAP DIV 97717W760        444,408     13,195       X        28-12474    13195

WYETH                          COM            983024100      9,097,150    242,526       X        28-12474   225235             17291
                                                             2,248,237     59,937       X      X 28-12474    54466      1421    4050
                                                                 8,477        226       X        28-12474      226

XTO ENERGY INC                 COM            98385X106     11,688,196    331,392       X        28-12474   308955             22437
                                                             2,937,391     83,283       X      X 28-12474    76088      2173    5022
                                                                29,803        845       X        28-12474      845

YAHOO INC                      COM            984332106          3,965        325       X        28-12474      250                75

YUM BRANDS INC                 COM            988498101      8,673,305    275,343       X        28-12474   257577             17766
                                                             2,055,344     65,249       X      X 28-12474    59997      1450    3802
                                                                24,602        781       X        28-12474      781

ZIMMER HLDGS INC               COM            98956P102            404         10       X      X 28-12474       10
               COLUMN TOTAL                                 68,456,608







PAGE 255 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AMB PROPERTY CORP              COM            00163T109        354,930     15,155       X        28-12474    15155

ALEXANDRIA REAL ESTATE EQ IN   COM            015271109        847,174     14,040       X        28-12474    14040

AMERICAN CAMPUS CMNTYS INC     COM            024835100        306,790     14,980       X        28-12474    14980

ANNALY CAP MGMT INC            COM            035710409        841,586     53,030       X        28-12474    53030

AVALONBAY CMNTYS INC           COM            053484101        182,346      3,010       X        28-12474     3010

BOSTON PROPERTIES INC          COM            101121101      1,109,900     20,180       X        28-12474    20180

BRANDYWINE RLTY TR             SH BEN INT NEW 105368203        135,426     17,565       X        28-12474    17565

BROOKFIELD PPTYS CORP          COM            112900105        254,781     32,960       X        28-12474    32960

CBL & ASSOC PPTYS INC          COM            124830100        286,065     44,010       X        28-12474    44010

CAMDEN PPTY TR                 SH BEN INT     133131102        258,242      8,240       X        28-12474     8240

CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        874,029     28,470       X        28-12474    28470

DEVELOPERS DIVERSIFIED RLTY    COM            251591103        264,106     54,120       X        28-12474    54120

DIGITAL RLTY TR INC            COM            253868103        827,492     25,190       X        28-12474    25190

DOUGLAS EMMETT INC             COM            25960P109        150,647     11,535       X        28-12474    11535

EASTGROUP PPTY INC             COM            277276101        390,668     10,980       X        28-12474    10980

ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        358,047     12,015       X        28-12474    12015

EQUITY RESIDENTIAL             SH BEN INT     29476L107        713,742     23,935       X        28-12474    23935

ESSEX PPTY TR INC              COM            297178105        460,500      6,000       X        28-12474     6000

FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206        704,608     11,350       X        28-12474    11350

FELCOR LODGING TR INC          COM            31430F101         79,635     43,280       X        28-12474    43280

FIDELITY NATIONAL FINANCIAL    CL A           31620R105        236,253     13,310       X        28-12474    13310

GRAMERCY CAP CORP              COM            384871109         70,790     55,305       X        28-12474    55305
               COLUMN TOTAL                                  9,707,757







PAGE 256 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HCP INC                        COM            40414L109        878,504     31,635       X        28-12474    31635

HERSHA HOSPITALITY TR          SH BEN INT A   427825104         90,480     30,160       X        28-12474    30160

HOST HOTELS & RESORTS INC      COM            44107P104        625,683     82,653       X        28-12474    82653

KIMCO REALTY CORP              COM            49446R109      1,027,884     56,230       X        28-12474    56230

LASALLE HOTEL PPTYS            COM SH BEN INT 517942108        183,485     16,605       X        28-12474    16605

MACERICH CO                    COM            554382101        482,511     26,570       X        28-12474    26570

MACK CALI RLTY CORP            COM            554489104        280,770     11,460       X        28-12474    11460

MEDICAL PPTYS TRUST INC        COM            58463J304        198,361     31,436       X        28-12474    31436

MID-AMER APT CMNTYS INC        COM            59522J103        191,560      5,155       X        28-12474     5155

NATIONWIDE HEALTH PPTYS INC    COM            638620104        373,504     13,005       X        28-12474    13005

OMEGA HEALTHCARE INVS INC      COM            681936100        580,430     36,345       X        28-12474    36345

PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107        112,719     15,130       X        28-12474    15130

POST PPTYS INC                 COM            737464107         86,955      5,270       X        28-12474     5270

PROLOGIS                       SH BEN INT     743410102        620,327     44,660       X        28-12474    44660

PUBLIC STORAGE                 COM            74460D109        801,758     10,085       X        28-12474    10085

REGENCY CTRS CORP              COM            758849103      1,175,439     25,170       X        28-12474    25170

SL GREEN RLTY CORP             COM            78440X101        667,339     25,766       X        28-12474    25766

SIMON PPTY GROUP INC NEW       COM            828806109      1,887,975     35,535       X        28-12474    35535

STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        200,301     11,190       X        28-12474    11190

STRATEGIC HOTELS & RESORTS I   COM            86272T106         42,504     25,300       X        28-12474    25300

SUNSTONE HOTEL INVS INC NEW    COM            867892101        107,644     17,390       X        28-12474    17390

TANGER FACTORY OUTLET CTRS I   COM            875465106        319,394      8,490       X        28-12474     8490
               COLUMN TOTAL                                 10,935,527







PAGE 257 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TAUBMAN CTRS INC               COM            876664103        356,822     14,015       X        28-12474    14015

UDR INC                        COM            902653104        333,373     24,175       X        28-12474    24175

U STORE IT TR                  COM            91274F104        106,444     23,920       X        28-12474    23920

VENTAS INC                     COM            92276F100        723,601     21,555       X        28-12474    21555

VORNADO RLTY TR                SH BEN INT     929042109      1,357,272     22,490       X        28-12474    22490

WEINGARTEN RLTY INVS           SH BEN INT     948741103        225,004     10,875       X        28-12474    10875
               COLUMN TOTAL                                  3,102,516







PAGE 258 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AAR CORP                       COM            000361105      1,680,000     91,260        X       28-4635         0         0   91260
ABB LTD                        SPONSORED ADR  000375204      6,368,000    424,252        X       28-4635         0         0  424252
A D C TELECOMMUNICATION S      COM NEW        000886309          0,000          1        X       28-4635         0         0       1
AFLAC INC                      COM            001055102      1,557,000     33,960        X       28-4635         0         0   33960
AGCO CORP                      COM            001084102         24,000      1,037        X       28-4635         0         0    1037
AK STL HLDG CORP               COM            001547108        560,000     60,049        X       28-4635         0         0   60049
AMN HEALTHCARE SERVICES INC    COM            001744101         11,000      1,300        X       28-4635         0         0    1300
AMR CORP                       COM            001765106         46,000      4,275        X       28-4635         0         0    4275
AVX CORP NEW                   COM            002444107        101,000     12,700        X       28-4635         0         0   12700
AARON RENTS INC                COM            002535201      1,140,000     42,825        X       28-4635         0         0   42825
ABBOTT LABS                    COM            002824100     19,300,000    361,630        X       28-4635         0         0  361630
ABERCROMBIE & FITCH CO         CL A           002896207        120,000      5,206        X       28-4635         0         0    5206
ACETO CORP                     COM            004446100        814,000     81,300        X       28-4635         0         0   81300
AEROPOSTALE                    COM            007865108         17,000      1,050        X       28-4635         0         0    1050
ADVANCED MICRO DEVICES INC     COM            007903107         75,000     34,747        X       28-4635         0         0   34747
AEROVIRONMENT INC              COM            008073108         18,000        500        X       28-4635         0         0     500
AFFILIATED COMPUTER SER VICES  CL A           008190100        314,000      6,836        X       28-4635         0         0    6836
AFFILIATED MANAGERS GRO UP     COM            008252108      1,679,000     40,064        X       28-4635         0         0   40064
AIR PRODS & CHEMS INC          COM            009158106        740,000     14,720        X       28-4635         0         0   14720
AIRGAS INC                     COM            009363102        320,000      8,209        X       28-4635         0         0    8209
ALBANY INTL CORP               CL A           012348108          6,000        500        X       28-4635         0         0     500
ALBEMARLE CORP                 COM            012653101          7,000        300        X       28-4635         0         0     300
ALBERTO CULVER CO NEW          COM            013078100        103,000      4,200        X       28-4635         0         0    4200
ALCOA INC                      COM            013817101        698,000     62,056        X       28-4635         0         0   62056
ALCATEL-LUCENT                 SPONSORED ADR  013904305         14,000      6,376        X       28-4635         0         0    6376
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109        229,000      3,800        X       28-4635         0         0    3800
ALEXION PHARMACEUTICALS INC    COM            015351109      1,613,000     44,570        X       28-4635         0         0   44570
ALLEGHANY CORP DEL             COM            017175100         34,000        121        X       28-4635         0         0     121
ALLEGHENY ENERGY INC           COM            017361106        384,000     11,345        X       28-4635         0         0   11345
ALLERGAN INC                   COM            018490102      1,187,000     29,437        X       28-4635         0         0   29437
ALLIANCE DATA SYSTEMS C ORP    COM            018581108        136,000      2,933        X       28-4635         0         0    2933







PAGE 259 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLIANCE ONE INTL INC          COM            018772103         62,000     21,200        X       28-4635         0         0   21200
ALLSTATE CORP                  COM            020002101      3,185,000     97,217        X       28-4635         0         0   97217
ALON USA ENERGY INC            COM            020520102        859,000     93,930        X       28-4635         0         0   93930
ALTERA CORP                    COM            021441100        396,000     23,678        X       28-4635         0         0   23678
AMAZON COM INC                 COM            023135106      1,545,000     30,136        X       28-4635         0         0   30136
AMEDISYS INC                   COM            023436108      1,164,000     28,150        X       28-4635         0         0   28150
AMERCO                         COM            023586100         97,000      2,800        X       28-4635         0         0    2800
AMEREN CORP                    COM            023608102        298,000      8,966        X       28-4635         0         0    8966
AMERICAN ECOLOGY CORP          COM NEW        025533407        142,000      7,000        X       28-4635         0         0    7000
AMERICAN ELEC PWR INC          COM            025537101        606,000     18,219        X       28-4635         0         0   18219
AMERICAN EXPRESS CO            COM            025816109      1,426,000     76,878        X       28-4635         0         0   76878
AMERICAN FINL GROUP INC OHIO   COM            025932104         32,000      1,400        X       28-4635         0         0    1400
AMERICAN INTL GROUP INC        COM            026874107        186,000    118,780        X       28-4635         0         0  118780
AMERICAN PHYSICIANS CAP ITAL   COM            028884104        683,000     14,200        X       28-4635         0         0   14200
AMERICAN REPROGRAPHICS CO      COM            029263100        524,000     75,970        X       28-4635         0         0   75970
AMERICAN TOWER CORP            CL A           029912201     11,516,000    392,773        X       28-4635         0         0  392773
AMERICAN WTR WKS CO INC NEW    COM            030420103         88,000      4,200        X       28-4635         0         0    4200
AMETEK INC NEW                 COM            031100100        355,000     11,764        X       28-4635         0         0   11764
AMGEN INC                      COM            031162100     10,866,000    188,157        X       28-4635         0         0  188157
AMKOR TECHNOLOGY INC           COM            031652100         19,000      8,600        X       28-4635         0         0    8600
AMPHENOL CORP NEW              CL A           032095101        571,000     23,829        X       28-4635         0         0   23829
AMYLIN PHARMACEUTICALS INC     COM            032346108         50,000      4,565        X       28-4635         0         0    4565
ANADARKO PETE CORP             COM            032511107      9,501,000    246,438        X       28-4635         0         0  246438
ANADIGICS INC                  COM            032515108          4,000      2,600        X       28-4635         0         0    2600
ANALOG DEVICES INC             COM            032654105        412,000     21,667        X       28-4635         0         0   21667
ANALOGIC CORP                  COM PAR $0.05  032657207         57,000      2,100        X       28-4635         0         0    2100
ANDERSONS INC                  COM            034164103        102,000      6,200        X       28-4635         0         0    6200
ANIXTER INTL INC               COM            035290105        446,000     14,800        X       28-4635         0         0   14800
ANNALY CAP MGMT INC            COM            035710409        297,000     18,700        X       28-4635         0         0   18700
ANNTAYLOR STORES CORP          COM            036115103         10,000      1,811        X       28-4635         0         0    1811
AON CORP                       COM            037389103      9,253,000    202,568        X       28-4635         0         0  202568







PAGE 260 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
APACHE CORP                    COM            037411105      6,388,000     85,705        X       28-4635         0         0   85705
APOLLO GROUP INC               CL A           037604105        746,000      9,736        X       28-4635         0         0    9736
APPLE INC                      COM            037833100     16,088,000    188,489        X       28-4635         0         0  188489
APPLIED MATLS INC              COM            038222105      1,159,000    114,418        X       28-4635         0         0  114418
APPLIED SIGNAL TECHNOLO GY IN  COM            038237103        890,000     49,600        X       28-4635         0         0   49600
APTARGROUP INC                 COM            038336103      2,165,000     61,445        X       28-4635         0         0   61445
ARCH COAL INC                  COM            039380100      4,638,000    284,725        X       28-4635         0         0  284725
ARCHER DANIELS MIDLAND CO      COM            039483102        841,000     29,164        X       28-4635         0         0   29164
ARKANSAS BEST CORP DEL         COM            040790107        114,000      3,800        X       28-4635         0         0    3800
ARROW ELECTRS INC              COM            042735100         13,000        700        X       28-4635         0         0     700
ASTORIA FINL CORP              COM            046265104         18,000      1,100        X       28-4635         0         0    1100
ASTRAZENECA PLC                SPONSORED ADR  046353108        123,000      3,000        X       28-4635         0         0    3000
ATLAS AIR WORLDWIDE HLD GS IN  COM NEW        049164205         17,000        900        X       28-4635         0         0     900
ATWOOD OCEANICS INC            COM            050095108      1,319,000     86,295        X       28-4635         0         0   86295
AUTODESK INC                   COM            052769106        402,000     20,446        X       28-4635         0         0   20446
AUTOLIV INC                    COM            052800109      3,386,000    157,760        X       28-4635         0         0  157760
AUTOMATIC DATA PROCESSI NG IN  COM            053015103      1,555,000     39,522        X       28-4635         0         0   39522
AUTOZONE INC                   COM            053332102        718,000      5,151        X       28-4635         0         0    5151
AVALONBAY CMNTYS INC           COM            053484101        200,000      3,306        X       28-4635         0         0    3306
AVERY DENNISON CORP            COM            053611109        200,000      6,123        X       28-4635         0         0    6123
AVNET INC                      COM            053807103         45,000      2,445        X       28-4635         0         0    2445
AVOCENT CORP                   COM            053893103        983,000     54,900        X       28-4635         0         0   54900
AVON PRODS INC                 COM            054303102      5,111,000    212,708        X       28-4635         0         0  212708
AXA                            SPONSORED ADR  054536107        203,000      9,050        X       28-4635         0         0    9050
AXSYS TECHNOLOGIES INC         COM            054615109        395,000      7,200        X       28-4635         0         0    7200
BB&T CORP                      COM            054937107        664,000     24,165        X       28-4635         0         0   24165
BJ SVCS CO                     COM            055482103        152,000     13,006        X       28-4635         0         0   13006
BP PLC                         SPONSORED ADR  055622104      3,277,000     70,117        X       28-4635         0         0   70117
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107        103,000      1,400        X       28-4635         0         0    1400
BMC SOFTWARE INC               COM            055921100        523,000     19,427        X       28-4635         0         0   19427
BAKER MICHAEL CORP             COM            057149106      1,259,000     34,100        X       28-4635         0         0   34100







PAGE 261 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BAKER HUGHES INC               COM            057224107        932,000     29,085        X       28-4635         0         0   29085
BALCHEM CORP                   COM            057665200      2,418,000     97,065        X       28-4635         0         0   97065
BALL CORP                      COM            058498106        313,000      7,521        X       28-4635         0         0    7521
BANCO BRADESCO S A             SP ADR PFD NEW 059460303         39,000      4,000        X       28-4635         0         0    4000
BANCORPSOUTH INC               COM            059692103        525,000     22,480        X       28-4635         0         0   22480
BANK OF AMERICA CORPORA TION   COM            060505104     11,905,000    845,518        X       28-4635         0         0  845518
BANK HAWAII CORP               COM            062540109         50,000      1,100        X       28-4635         0         0    1100
BANK OF THE OZARKS INC         COM            063904106      1,162,000     39,190        X       28-4635         0         0   39190
BANK OF NEW YORK MELLON CORP   COM            064058100      9,476,000    334,508        X       28-4635         0         0  334508
BARD C R INC                   COM            067383109        547,000      6,486        X       28-4635         0         0    6486
BARNES & NOBLE INC             COM            067774109         12,000        800        X       28-4635         0         0     800
BARRICK GOLD CORP              COM            067901108      3,068,000     83,445        X       28-4635         0         0   83445
BAXTER INTL INC                COM            071813109     14,937,000    278,723        X       28-4635         0         0  278723
BE AEROSPACE INC               COM            073302101        609,000     79,163        X       28-4635         0         0   79163
BEBE STORES INC                COM            075571109         74,000      9,900        X       28-4635         0         0    9900
BECKMAN COULTER INC            COM            075811109        420,000      9,569        X       28-4635         0         0    9569
BECTON DICKINSON & CO          COM            075887109      1,230,000     17,986        X       28-4635         0         0   17986
BED BATH & BEYOND INC          COM            075896100        463,000     18,219        X       28-4635         0         0   18219
BEMIS INC                      COM            081437105        168,000      7,110        X       28-4635         0         0    7110
BERKLEY W R CORP               COM            084423102         69,000      2,217        X       28-4635         0         0    2217
BERKSHIRE HATHAWAY INC DEL     CL A           084670108         97,000          1        X       28-4635         0         0       1
BERKSHIRE HATHAWAY INC DEL     CL B           084670207      4,480,000      1,394        X       28-4635         0         0    1394
BERKSHIRE HILLS BANCORP INC    COM            084680107         65,000      2,100        X       28-4635         0         0    2100
BEST BUY INC                   COM            086516101      1,224,000     43,543        X       28-4635         0         0   43543
BHP BILLITON LTD               SPONSORED ADR  088606108      1,255,000     29,265        X       28-4635         0         0   29265
BIG LOTS INC                   COM            089302103         42,000      2,897        X       28-4635         0         0    2897
BIGBAND NETWORKS INC           COM            089750509         17,000      3,000        X       28-4635         0         0    3000
BIO RAD LABS INC               CL A           090572207        591,000      7,850        X       28-4635         0         0    7850
BLACK & DECKER CORP            COM            091797100        116,000      2,771        X       28-4635         0         0    2771
BLACK BOX CORP DEL             COM            091826107      1,062,000     40,650        X       28-4635         0         0   40650
BLACK HILLS CORP               COM            092113109         16,000        600        X       28-4635         0         0     600







PAGE 262 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BLOCK H & R INC                COM            093671105        569,000     25,034        X       28-4635         0         0   25034
BOEING CO                      COM            097023105      5,565,000    130,411        X       28-4635         0         0  130411
BORGWARNER INC                 COM            099724106          3,000        150        X       28-4635         0         0     150
BOSTON PROPERTIES INC          COM            101121101        287,000      5,212        X       28-4635         0         0    5212
BOSTON SCIENTIFIC CORP         COM            101137107        550,000     71,095        X       28-4635         0         0   71095
BOYD GAMING CORP               COM            103304101          6,000      1,171        X       28-4635         0         0    1171
BRINKER INTL INC               COM            109641100         36,000      3,424        X       28-4635         0         0    3424
BRINKS CO                      COM            109696104         46,000      1,715        X       28-4635         0         0    1715
BRINKS HOME SEC HLDGS I N C    COM            109699108         77,000      3,515        X       28-4635         0         0    3515
BRISTOL MYERS SQUIBB CO        COM            110122108     12,659,000    544,478        X       28-4635         0         0  544478
BROADCOM CORP                  CL A           111320107        921,000     54,249        X       28-4635         0         0   54249
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306         13,000      4,600        X       28-4635         0         0    4600
BROOKDALE SR LIVING INC        COM            112463104         26,000      4,700        X       28-4635         0         0    4700
BROWN & BROWN INC              COM            115236101         85,000      4,074        X       28-4635         0         0    4074
BROWN FORMAN CORP              CL B           115637209        480,000      9,326        X       28-4635         0         0    9326
BUCKEYE TECHNOLOGIES IN C      COM            118255108          7,000      2,000        X       28-4635         0         0    2000
BUCYRUS INTL INC NEW           COM            118759109         10,000        540        X       28-4635         0         0     540
BUFFALO WILD WINGS INC         COM            119848109        653,000     25,475        X       28-4635         0         0   25475
BUILD A BEAR WORKSHOP          COM            120076104         86,000     17,600        X       28-4635         0         0   17600
CBS CORP NEW                   CL B           124857202        247,000     30,170        X       28-4635         0         0   30170
CEC ENTMT INC                  COM            125137109         61,000      2,500        X       28-4635         0         0    2500
CF INDS HLDGS INC              COM            125269100        202,000      4,105        X       28-4635         0         0    4105
CIGNA CORP                     COM            125509109        219,000     12,985        X       28-4635         0         0   12985
CIT GROUP INC                  COM            125581108         54,000     11,856        X       28-4635         0         0   11856
CMS ENERGY CORP                COM            125896100         92,000      9,063        X       28-4635         0         0    9063
CNOOC LTD                      SPONSORED ADR  126132109         45,000        475        X       28-4635         0         0     475
CSG SYS INTL INC               COM            126349109        350,000     20,050        X       28-4635         0         0   20050
CSX CORP                       COM            126408103        896,000     27,586        X       28-4635         0         0   27586
CTS CORP                       COM            126501105         99,000     18,000        X       28-4635         0         0   18000
CVS CAREMARK CORPORATIO N      COM            126650100      2,769,000     96,363        X       28-4635         0         0   96363
CABOT OIL & GAS CORP           COM            127097103        131,000      5,044        X       28-4635         0         0    5044







PAGE 263 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CACI INTL INC                  CL A           127190304        194,000      4,300        X       28-4635         0         0    4300
CADIZ INC                      COM NEW        127537207        149,000     11,900        X       28-4635         0         0   11900
CAL MAINE FOODS INC            COM NEW        128030202        903,000     31,450        X       28-4635         0         0   31450
CALLAWAY GOLF CO               COM            131193104         97,000     10,400        X       28-4635         0         0   10400
CALPINE CORP                   COM NEW        131347304      3,107,000    426,815        X       28-4635         0         0  426815
CAMPBELL SOUP CO               COM            134429109        347,000     11,577        X       28-4635         0         0   11577
CANADIAN NAT RES LTD           COM            136385101         42,000      1,044        X       28-4635         0         0    1044
CANON INC                      ADR            138006309         61,000      1,950        X       28-4635         0         0    1950
CARLISLE COS INC               COM            142339100         29,000      1,425        X       28-4635         0         0    1425
CARMAX INC                     COM            143130102         45,000      5,688        X       28-4635         0         0    5688
CARNIVAL CORP                  PAIRED CTF     143658300        478,000     19,639        X       28-4635         0         0   19639
CARPENTER TECHNOLOGY CO RP     COM            144285103         60,000      2,907        X       28-4635         0         0    2907
CARRIZO OIL & CO INC           COM            144577103         21,000      1,300        X       28-4635         0         0    1300
CARTER INC                     COM            146229109      1,466,000     76,140        X       28-4635         0         0   76140
CASEYS GEN STORES INC          COM            147528103         11,000        500        X       28-4635         0         0     500
CATERPILLAR INC DEL            COM            149123101      2,540,000     56,852        X       28-4635         0         0   56852
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106         19,000      1,500        X       28-4635         0         0    1500
CELANESE CORP DEL              COM SER A      150870103         31,000      2,506        X       28-4635         0         0    2506
CELGENE CORP                   COM            151020104      1,933,000     34,979        X       28-4635         0         0   34979
CENTEX CORP                    COM            152312104         81,000      7,587        X       28-4635         0         0    7587
CENTRAL EUROPEAN DIST C ORP    COM            153435102         20,000      1,000        X       28-4635         0         0    1000
CENTRAL FD CDA LTD             CL A           153501101         16,000      1,400        X       28-4635         0         0    1400
CENTURYTEL INC                 COM            156700106        138,000      5,038        X       28-4635         0         0    5038
CEPHALON INC                   COM            156708109        484,000      6,286        X       28-4635         0         0    6286
CERADYNE INC                   COM            156710105        739,000     36,400        X       28-4635         0         0   36400
CERNER CORP                    COM            156782104         93,000      2,412        X       28-4635         0         0    2412
CHARLES RIV LABS INTL I N C    COM            159864107        223,000      8,530        X       28-4635         0         0    8530
CHATTEM INC                    COM            162456107      2,455,000     34,325        X       28-4635         0         0   34325
CHEESECAKE FACTORY INC         COM            163072101         10,000      1,000        X       28-4635         0         0    1000
CHESAPEAKE ENERGY CORP         COM            165167107        525,000     32,457        X       28-4635         0         0   32457
CHESAPEAKE UTILS CORP          COM            165303108          9,000        300        X       28-4635         0         0     300







PAGE 264 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHEVRON CORP NEW               COM            166764100     24,069,000    325,382        X       28-4635         0         0  325382
CHUBB CORP                     COM            171232101      2,202,000     43,168        X       28-4635         0         0   43168
CHURCH & DWIGHT INC            COM            171340102        578,000     10,312        X       28-4635         0         0   10312
CIENA CORP                     COM NEW        171779309         28,000      4,119        X       28-4635         0         0    4119
CINCINNATI FINL CORP           COM            172062101        204,000      7,024        X       28-4635         0         0    7024
CINTAS CORP                    COM            172908105        142,000      6,126        X       28-4635         0         0    6126
CITIGROUP INC                  COM            172967101      4,209,000    627,170        X       28-4635         0         0  627170
CITIZENS INC                   CL A           174740100        837,000     86,300        X       28-4635         0         0   86300
CITRIX SYS INC                 COM            177376100     12,681,000    538,011        X       28-4635         0         0  538011
CITY HLDG CO                   COM            177835105        903,000     25,975        X       28-4635         0         0   25975
CITY NATL CORP                 COM            178566105         29,000        600        X       28-4635         0         0     600
CLOROX CO DEL                  COM            189054109        370,000      6,657        X       28-4635         0         0    6657
COACH INC                      COM            189754104        820,000     39,470        X       28-4635         0         0   39470
COCA COLA BOTTLING CO C ONS    COM            191098102         28,000        600        X       28-4635         0         0     600
COCA COLA CO                   COM            191216100      6,112,000    135,006        X       28-4635         0         0  135006
COCA COLA ENTERPRISES I N C    COM            191219104        179,000     14,873        X       28-4635         0         0   14873
COGNIZANT TECHNOLOGY SO LUTIO  CL A           192446102        564,000     31,220        X       28-4635         0         0   31220
COHERENT INC                   COM            192479103        103,000      4,800        X       28-4635         0         0    4800
COLFAX CORP                    COM            194014106        117,000     11,300        X       28-4635         0         0   11300
COLGATE PALMOLIVE CO           COM            194162103     20,470,000    298,664        X       28-4635         0         0  298664
COLUMBUS MCKINNON CORP N Y     COM            199333105        127,000      9,300        X       28-4635         0         0    9300
COMFORT SYS USA INC            COM            199908104        126,000     11,800        X       28-4635         0         0   11800
COMERICA INC                   COM            200340107        154,000      7,750        X       28-4635         0         0    7750
COMMSCOPE INC                  COM            203372107         35,000      2,276        X       28-4635         0         0    2276
COMMUNITY BK SYS INC           COM            203607106      1,217,000     49,900        X       28-4635         0         0   49900
COMMUNITY HEALTH SYS IN C NEW  COM            203668108          5,000        335        X       28-4635         0         0     335
COMMUNITY TR BANCORP IN C      COM            204149108        741,000     20,150        X       28-4635         0         0   20150
COMPANHIA VALE DO RIO D OCE    SPON ADR PFD   204412100         75,000      7,000        X       28-4635         0         0    7000
COMPANHIA VALE DO RIO D OCE    SPONSORED ADR  204412209        544,000     44,918        X       28-4635         0         0   44918
COMPUTER PROGRAMS & SYS INC    COM            205306103        603,000     22,500        X       28-4635         0         0   22500
COMPUTER SCIENCES CORP         COM            205363104        318,000      9,047        X       28-4635         0         0    9047







PAGE 265 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMPUWARE CORP                 COM            205638109        554,000     82,051        X       28-4635         0         0   82051
COMTECH TELECOMMUNICATI ONS C  COM NEW        205826209      3,100,000     67,660        X       28-4635         0         0   67660
CONAGRA FOODS INC              COM            205887102        455,000     27,547        X       28-4635         0         0   27547
CON-WAY INC                    COM            205944101         34,000      1,288        X       28-4635         0         0    1288
CONMED CORP                    COM            207410101        172,000      7,200        X       28-4635         0         0    7200
CONSOLIDATED EDISON INC        COM            209115104        509,000     13,070        X       28-4635         0         0   13070
CONSOLIDATED GRAPHICS I N C    COM            209341106        143,000      6,300        X       28-4635         0         0    6300
CONSTELLATION ENERGY GR OUP I  COM            210371100        338,000     13,460        X       28-4635         0         0   13460
CONTINENTAL RESOURCES I N C    COM            212015101         46,000      2,235        X       28-4635         0         0    2235
CONVERGYS CORP                 COM            212485106        167,000     26,098        X       28-4635         0         0   26098
COPART INC                     COM            217204106        530,000     19,506        X       28-4635         0         0   19506
CORINTHIAN COLLEGES INC        COM            218868107        428,000     26,118        X       28-4635         0         0   26118
CORN PRODS INTL INC            COM            219023108      1,037,000     35,960        X       28-4635         0         0   35960
CORNING INC                    COM            219350105      1,073,000    112,529        X       28-4635         0         0  112529
CORVEL CORP                    COM            221006109        914,000     41,600        X       28-4635         0         0   41600
COVANCE INC                    COM            222816100        202,000      4,392        X       28-4635         0         0    4392
COVENTRY HEALTH CARE IN C      COM            222862104        190,000     12,769        X       28-4635         0         0   12769
CREDIT SUISSE GROUP            SPONSORED ADR  225401108        107,000      3,800        X       28-4635         0         0    3800
CREE INC                       COM            225447101         13,000        836        X       28-4635         0         0     836
CROSS CTRY HEALTHCARE I N C    COM            227483104        101,000     11,500        X       28-4635         0         0   11500
CROWN CASTLE INTL CORP         COM            228227104         55,000      3,113        X       28-4635         0         0    3113
CROWN HOLDINGS INC             COM            228368106         87,000      4,517        X       28-4635         0         0    4517
CUBIST PHARMACEUTICALS INC     COM            229678107        444,000     18,390        X       28-4635         0         0   18390
CULLEN FROST BANKERS IN C      COM            229899109        147,000      2,900        X       28-4635         0         0    2900
CUMMINS INC                    COM            231021106        389,000     14,544        X       28-4635         0         0   14544
CURTISS WRIGHT CORP            COM            231561101      1,153,000     34,520        X       28-4635         0         0   34520
CUTERA INC                     COM            232109108         11,000      1,200        X       28-4635         0         0    1200
CYMER INC                      COM            232572107         96,000      4,400        X       28-4635         0         0    4400
CYPRESS SEMICONDUCTOR C ORP    COM            232806109         15,000      3,368        X       28-4635         0         0    3368
CYTEC INDS INC                 COM            232820100         15,000        700        X       28-4635         0         0     700
DPL INC                        COM            233293109         41,000      1,785        X       28-4635         0         0    1785







PAGE 266 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DST SYS INC DEL                COM            233326107         74,000      1,951        X       28-4635         0         0    1951
DTE ENERGY CO                  COM            233331107        240,000      6,715        X       28-4635         0         0    6715
DXP ENTERPRISES INC NEW        COM NEW        233377407          7,000        500        X       28-4635         0         0     500
DANAHER CORP DEL               COM            235851102     15,274,000    269,806        X       28-4635         0         0  269806
DARDEN RESTAURANTS INC         COM            237194105        331,000     11,762        X       28-4635         0         0   11762
DASSAULT SYS S A SPONSORED ADR ED             237545108         90,000      2,000        X       28-4635         0         0    2000
DATASCOPE CORP                 COM            238113104        136,000      2,600        X       28-4635         0         0    2600
DEAN FOODS CO NEW              COM            242370104      7,013,000    390,280        X       28-4635         0         0  390280
DEERE & CO                     COM            244199105      1,526,000     39,818        X       28-4635         0         0   39818
DELEK US HLDGS INC             COM            246647101          4,000        800        X       28-4635         0         0     800
DELTIC TIMBER CORP             COM            247850100        237,000      5,171        X       28-4635         0         0    5171
DENBURY RES INC                COM NEW        247916208        126,000     11,577        X       28-4635         0         0   11577
DELUXE CORP                    COM            248019101        135,000      9,000        X       28-4635         0         0    9000
DENTSPLY INTL INC NEW          COM            249030107      5,120,000    181,305        X       28-4635         0         0  181305
DEVELOPERS DIVERSIFIED RLTY    COM            251591103         25,000      5,186        X       28-4635         0         0    5186
DEVRY INC DEL                  COM            251893103        843,000     14,685        X       28-4635         0         0   14685
DIAMOND FOODS INC              COM            252603105         10,000        500        X       28-4635         0         0     500
DIAMONDROCK HOSPITALITY CO     COM            252784301        429,000     84,700        X       28-4635         0         0   84700
DICKS SPORTING GOODS IN C      COM            253393102      9,525,000    675,022        X       28-4635         0         0  675022
DIEBOLD INC                    COM            253651103         41,000      1,456        X       28-4635         0         0    1456
DIGITAL RLTY TR INC            COM            253868103        333,000     10,147        X       28-4635         0         0   10147
DIME CMNTY BANCSHARES          COM            253922108         21,000      1,600        X       28-4635         0         0    1600
DIONEX CORP                    COM            254546104        170,000      3,800        X       28-4635         0         0    3800
DISNEY WALT CO                 COM DISNEY     254687106      2,261,000     99,659        X       28-4635         0         0   99659
DISCOVER FINL SVCS             COM            254709108        256,000     26,903        X       28-4635         0         0   26903
DOLLAR TREE INC                COM            256746108        165,000      3,950        X       28-4635         0         0    3950
DONALDSON INC                  COM            257651109        100,000      2,983        X       28-4635         0         0    2983
DONNELLEY R R & SONS CO        COM            257867101        122,000      8,968        X       28-4635         0         0    8968
DOVER CORP                     COM            260003108        653,000     19,832        X       28-4635         0         0   19832
DOW CHEM CO                    COM            260543103        626,000     41,454        X       28-4635         0         0   41454
DRESSER-RAND GROUP INC         COM            261608103          5,000        300        X       28-4635         0         0     300







PAGE 267 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DU PONT E I DE NEMOURS & CO    COM            263534109      2,555,000    100,971        X       28-4635         0         0  100971
DUCOMMUN INC DEL               COM            264147109         16,000        988        X       28-4635         0         0     988
DUKE REALTY CORP               COM NEW        264411505         22,000      1,970        X       28-4635         0         0    1970
E M C CORP MASS                COM            268648102      1,523,000    145,423        X       28-4635         0         0  145423
E TRADE FINANCIAL CORP         COM            269246104         33,000     29,116        X       28-4635         0         0   29116
EASTMAN CHEM CO                COM            277432100         97,000      3,059        X       28-4635         0         0    3059
EASTMAN KODAK CO               COM            277461109         52,000      7,976        X       28-4635         0         0    7976
EATON CORP                     COM            278058102        398,000      8,016        X       28-4635         0         0    8016
EATON VANCE CORP               COM NON VTG    278265103         72,000      3,442        X       28-4635         0         0    3442
EBAY INC                       COM            278642103      5,017,000    359,374        X       28-4635         0         0  359374
ECHOSTAR CORP                  CL A           278768106         17,000      1,113        X       28-4635         0         0    1113
ECOLAB INC                     COM            278865100      5,500,000    156,477        X       28-4635         0         0  156477
EDISON INTL                    COM            281020107        432,000     13,460        X       28-4635         0         0   13460
EL PASO ELEC CO                COM NEW        283677854      1,227,000     67,850        X       28-4635         0         0   67850
ELECTRONIC ARTS INC            COM            285512109        294,000     18,300        X       28-4635         0         0   18300
EMERSON ELEC CO                COM            291011104      2,344,000     64,011        X       28-4635         0         0   64011
ENCORE CAP GROUP INC           COM            292554102        108,000     15,000        X       28-4635         0         0   15000
ENCORE WIRE CORP               COM            292562105        157,000      8,300        X       28-4635         0         0    8300
EQUIFAX INC                    COM            294429105        316,000     11,899        X       28-4635         0         0   11899
EQUITABLE RES INC              COM            294549100     12,922,000    385,169        X       28-4635         0         0  385169
EQUITY ONE                     COM            294752100          9,000        500        X       28-4635         0         0     500
ERICSSON L M TEL CO            ADR B SEK 10   294821608        111,000     14,200        X       28-4635         0         0   14200
ESSEX PPTY TR INC              COM            297178105         33,000        432        X       28-4635         0         0     432
ESTERLINE TECHNOLOGIES CORP    COM            297425100      3,134,000     82,710        X       28-4635         0         0   82710
EXPEDITORS INTL WASH IN C      COM            302130109      9,617,000    289,057        X       28-4635         0         0  289057
EXPRESS SCRIPTS INC            COM            302182100        829,000     15,076        X       28-4635         0         0   15076
EZCORP INC                     CL A NON VTG   302301106      1,405,000     92,400        X       28-4635         0         0   92400
FLIR SYS INC                   COM            302445101      2,962,000     96,540        X       28-4635         0         0   96540
FPIC INS GROUP INC             COM            302563101         10,000        225        X       28-4635         0         0     225
FPL GROUP INC                  COM            302571104      3,680,000     73,116        X       28-4635         0         0   73116
FTI CONSULTING INC             COM            302941109         47,000      1,055        X       28-4635         0         0    1055







PAGE 268 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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      2,676,000     60,489        X       28-4635         0         0   60489
FAIRPOINT COMMUNICATION S INC  COM            305560104              0          4        X       28-4635         0         0       4
FAMILY DLR STORES INC          COM            307000109        550,000     21,083        X       28-4635         0         0   21083
FASTENAL CO                    COM            311900104        351,000     10,073        X       28-4635         0         0   10073
FEDERAL NATL MTG ASSN          COM            313586109          3,000      3,310        X       28-4635         0         0    3310
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206         47,000        750        X       28-4635         0         0     750
FEDERATED INVS INC PA          CL B           314211103        126,000      7,418        X       28-4635         0         0    7418
F5 NETWORKS INC                COM            315616102         28,000      1,236        X       28-4635         0         0    1236
FIFTH THIRD BANCORP            COM            316773100        205,000     24,787        X       28-4635         0         0   24787
FINANCIAL FED CORP             COM            317492106        182,000      7,800        X       28-4635         0         0    7800
FIRST FINL BANCORP OH          COM            320209109        135,000     10,900        X       28-4635         0         0   10900
FIRST HORIZON NATL CORP        COM            320517105         90,000      8,503        X       28-4635         0         0    8503
FIRST SOLAR INC                COM            336433107      4,275,000     30,985        X       28-4635         0         0   30985
FISERV INC                     COM            337738108        478,000     13,140        X       28-4635         0         0   13140
FIRSTENERGY CORP               COM            337932107      1,039,000     21,396        X       28-4635         0         0   21396
FLUOR CORP NEW                 COM            343412102        674,000     15,020        X       28-4635         0         0   15020
FLOW INTL CORP                 COM            343468104         10,000      4,100        X       28-4635         0         0    4100
FLOWERS FOODS INC              COM            343498101        745,000     30,575        X       28-4635         0         0   30575
FLUSHING FINL CORP             COM            343873105         13,000      1,100        X       28-4635         0         0    1100
FORD MTR CO DEL                COM PAR $0.01  345370860        241,000    105,066        X       28-4635         0         0  105066
FOREST CITY ENTERPRISES INC    CL A           345550107         13,000      1,901        X       28-4635         0         0    1901
FOREST LABS INC                COM            345838106        496,000     19,479        X       28-4635         0         0   19479
FORTUNE BRANDS INC             COM            349631101        546,000     13,240        X       28-4635         0         0   13240
FOSSIL INC                     COM            349882100         28,000      1,700        X       28-4635         0         0    1700
FRANKLIN RES INC               COM            354613101        819,000     12,832        X       28-4635         0         0   12832
FULLER H B CO                  COM            359694106         18,000      1,100        X       28-4635         0         0    1100
G & K SVCS INC                 CL A           361268105         91,000      4,500        X       28-4635         0         0    4500
GATX CORP                      COM            361448103         11,000        350        X       28-4635         0         0     350
GALLAGHER ARTHUR J & CO        COM            363576109         13,000        500        X       28-4635         0         0     500
GANNETT INC                    COM            364730101        201,000     25,079        X       28-4635         0         0   25079
GAP INC DEL                    COM            364760108      3,808,000    284,395        X       28-4635         0         0  284395







PAGE 269 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GARDNER DENVER INC             COM            365558105        823,000     35,250        X       28-4635         0         0   35250
GENENTECH INC                  COM NEW        368710406     15,829,000    190,918        X       28-4635         0         0  190918
GENERAL CABLE CORP DEL NEW     COM            369300108         41,000      2,335        X       28-4635         0         0    2335
GENERAL DYNAMICS CORP          COM            369550108      1,062,000     18,447        X       28-4635         0         0   18447
GENERAL ELECTRIC CO            COM            369604103     12,743,000    786,633        X       28-4635         0         0  786633
GENERAL GROWTH PPTYS IN C      COM            370021107          5,000      4,039        X       28-4635         0         0    4039
GENERAL MLS INC                COM            370334104     13,789,000    226,987        X       28-4635         0         0  226987
GENERAL MTRS CORP              COM            370442105         88,000     27,552        X       28-4635         0         0   27552
GENESCO INC                    COM            371532102        443,000     26,200        X       28-4635         0         0   26200
GENTEX CORP                    COM            371901109         33,000      3,758        X       28-4635         0         0    3758
GENUINE PARTS CO               COM            372460105        272,000      7,195        X       28-4635         0         0    7195
GENZYME CORP                   COM            372917104     16,819,000    253,419        X       28-4635         0         0  253419
GIBRALTAR INDS INC             COM            374689107         82,000      6,900        X       28-4635         0         0    6900
GILEAD SCIENCES INC            COM            375558103      3,798,000     74,270        X       28-4635         0         0   74270
GILDAN ACTIVEWEAR INC          COM            375916103        836,000     71,050        X       28-4635         0         0   71050
GLATFELTER                     COM            377316104         20,000      2,200        X       28-4635         0         0    2200
GOLDCORP INC NEW               COM            380956409         10,000        325        X       28-4635         0         0     325
GOODRICH CORP                  COM            382388106        434,000     11,725        X       28-4635         0         0   11725
GOODYEAR TIRE & RUBR CO        COM            382550101         71,000     11,940        X       28-4635         0         0   11940
GORMAN RUPP CO                 COM            383082104        151,000      4,850        X       28-4635         0         0    4850
GRACO INC                      COM            384109104      1,509,000     63,590        X       28-4635         0         0   63590
GRAINGER W W INC               COM            384802104        359,000      4,551        X       28-4635         0         0    4551
GREIF INC                      CL A           397624107        237,000      7,100        X       28-4635         0         0    7100
GYMBOREE CORP                  COM            403777105        125,000      4,800        X       28-4635         0         0    4800
HSN INC                        COM            404303109          2,000        333        X       28-4635         0         0     333
HAEMONETICS CORP               COM            405024100      1,266,000     22,400        X       28-4635         0         0   22400
HALLIBURTON CO                 COM            406216101      1,172,000     64,463        X       28-4635         0         0   64463
HANSEN NAT CORP                COM            411310105         83,000      2,465        X       28-4635         0         0    2465
HARLEY DAVIDSON INC            COM            412822108        272,000     16,054        X       28-4635         0         0   16054
HARMAN INTL INDS INC           COM            413086109         80,000      4,781        X       28-4635         0         0    4781
HARMONIC INC                   COM            413160102         14,000      2,500        X       28-4635         0         0    2500







PAGE 270 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HARRIS CORP DEL                COM            413875105        357,000      9,382        X       28-4635         0         0    9382
HARSCO CORP                    COM            415864107         95,000      3,424        X       28-4635         0         0    3424
HARTFORD FINL SVCS GROU P INC  COM            416515104        211,000     12,868        X       28-4635         0         0   12868
HASBRO INC                     COM            418056107        208,000      7,116        X       28-4635         0         0    7116
HEINZ H J CO                   COM            423074103        666,000     17,713        X       28-4635         0         0   17713
HELMERICH & PAYNE INC          COM            423452101         23,000      1,000        X       28-4635         0         0    1000
HERSHEY CO                     COM            427866108        474,000     13,644        X       28-4635         0         0   13644
HEWLETT PACKARD CO             COM            428236103      7,049,000    194,243        X       28-4635         0         0  194243
HILLENBRAND INC                COM            431571108         28,000      1,700        X       28-4635         0         0    1700
HOLLY CORP                     COM PAR $0.01  435758305         36,000      1,996        X       28-4635         0         0    1996
HOLOGIC INC                    COM            436440101          4,000        330        X       28-4635         0         0     330
HOME DEPOT INC                 COM            437076102      1,800,000     78,203        X       28-4635         0         0   78203
HOME PROPERTIES INC            COM            437306103          8,000        200        X       28-4635         0         0     200
HONDA MOTOR LTD                AMERN SHS      438128308         34,000      1,590        X       28-4635         0         0    1590
HONEYWELL INTL INC             COM            438516106      2,021,000     61,543        X       28-4635         0         0   61543
HORMEL FOODS CORP              COM            440452100         17,000        550        X       28-4635         0         0     550
HOSPIRA INC                    COM            441060100        281,000     10,468        X       28-4635         0         0   10468
HUB GROUP INC                  CL A           443320106          8,000        300        X       28-4635         0         0     300
HUBBELL INC                    CL B           443510201         13,000        390        X       28-4635         0         0     390
HUDSON CITY BANCORP            COM            443683107        505,000     31,612        X       28-4635         0         0   31612
HUGOTON RTY TR TEX             UNIT BEN INT   444717102        533,000     33,200        X       28-4635         0         0   33200
HUMANA INC                     COM            444859102        594,000     15,953        X       28-4635         0         0   15953
HUMAN GENOME SCIENCES I N C    COM            444903108         37,000     17,500        X       28-4635         0         0   17500
HUNT J B TRANS SVCS INC        COM            445658107         78,000      2,957        X       28-4635         0         0    2957
HUNTINGTON BANCSHARES I N C    COM            446150104        119,000     15,581        X       28-4635         0         0   15581
HURON CONSULTING GROUP INC     COM            447462102      2,484,000     43,370        X       28-4635         0         0   43370
IMS HEALTH INC                 COM            449934108        221,000     14,588        X       28-4635         0         0   14588
ITT CORP NEW                   COM            450911102        708,000     15,394        X       28-4635         0         0   15394
IDEARC INC COM DELET           ED             451663108              0         12        X       28-4635         0         0      12
IHS INC                        CL A           451734107        172,000      4,600        X       28-4635         0         0    4600
ILLINOIS TOOL WKS INC          COM            452308109        629,000     17,940        X       28-4635         0         0   17940







PAGE 271 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ILLUMINA INC                   COM            452327109         74,000      2,830        X       28-4635         0         0    2830
IMMERSION CORP                 COM            452521107         14,000      2,400        X       28-4635         0         0    2400
IMMUCOR INC                    COM            452526106        593,000     22,305        X       28-4635         0         0   22305
INFOSYS TECHNOLOGIES LT D      SPONSORED ADR  456788108         81,000      3,300        X       28-4635         0         0    3300
ING GROEP N V                  SPONSORED ADR  456837103         67,000      6,000        X       28-4635         0         0    6000
INGRAM MICRO INC               CL A           457153104        115,000      8,600        X       28-4635         0         0    8600
INTEGRATED DEVICE TECHN OLOGY  COM            458118106        151,000     27,000        X       28-4635         0         0   27000
INTEL CORP                     COM            458140100     17,949,000  1,224,352        X       28-4635         0         0 1224352
INTER PARFUMS INC              COM            458334109        456,000     59,400        X       28-4635         0         0   59400
INTERLINE BRANDS INC           COM            458743101        198,000     18,600        X       28-4635         0         0   18600
INTERNATIONAL BANCSHARE S COR  COM            459044103        403,000     18,475        X       28-4635         0         0   18475
INTERNATIONAL BUSINESS MACHS   COM            459200101     10,535,000    125,180        X       28-4635         0         0  125180
INTERNATIONAL FLAVORS&F RAGRA  COM            459506101        250,000      8,425        X       28-4635         0         0    8425
INTERNATIONAL GAME TECH NOLOG  COM            459902102        219,000     18,436        X       28-4635         0         0   18436
INTL PAPER CO                  COM            460146103        192,000     16,288        X       28-4635         0         0   16288
INTERNATIONAL SPEEDWAY CORP    CL A           460335201        702,000     24,450        X       28-4635         0         0   24450
INTERPUBLIC GROUP COS I N C    COM            460690100        105,000     26,470        X       28-4635         0         0   26470
INTUIT                         COM            461202103        574,000     24,130        X       28-4635         0         0   24130
INVACARE CORP                  COM            461203101        112,000      7,200        X       28-4635         0         0    7200
ION GEOPHYSICAL CORP           COM            462044108        810,000    236,210        X       28-4635         0         0  236210
IOWA TELECOMM SERVICES INC     COM            462594201        436,000     30,500        X       28-4635         0         0   30500
IRON MTN INC                   COM            462846106        115,000      4,641        X       28-4635         0         0    4641
ISHARES INC                    MSCI JAPAN     464286848         10,000      1,000        X       28-4635         0         0    1000
ISHARES TR                     DJ SEL DIV INX 464287168         47,000      1,135        X       28-4635         0         0    1135
ISHARES TR                     BARCLYS
                               TIPS BD        464287176         30,000        300        X       28-4635         0         0     300
ISHARES TR                     S&P 500 INDEX  464287200      7,430,000     82,268        X       28-4635         0         0   82268
ISHARES TR                     MSCI EMERG MKT 464287234     11,225,000    449,554        X       28-4635         0         0  449554
ISHARES TR                     S&P GBL TELCM  464287275          3,000         55        X       28-4635         0         0      55
ISHARES TR                     S&P 500 VALUE  464287408         72,000      1,600        X       28-4635         0         0    1600
ISHARES TR                     MSCI EAFE IDX  464287465        567,000     12,640        X       28-4635         0         0   12640
ISHARES TR                     RUSSELL MCP VL 464287473        149,000      5,250        X       28-4635         0         0    5250







PAGE 272 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 GR 464287481      5,551,000    177,463        X       28-4635         0         0  177463
ISHARES TR                     RUSSELL MIDCAP 464287499        549,000      9,192        X       28-4635         0         0    9192
ISHARES TR                     S&P MIDCAP 400 464287507        222,000      4,168        X       28-4635         0         0    4168
ISHARES TR                     NASDQ BIO INDX 464287556        102,000      1,440        X       28-4635         0         0    1440
ISHARES TR                     RUSSELL1000VAL 464287598        274,000      5,524        X       28-4635         0         0    5524
ISHARES TR                     S&P MC 400 GRW 464287606      2,873,000     51,811        X       28-4635         0         0   51811
ISHARES TR                     RUSSELL1000GRW 464287614      3,342,000     90,190        X       28-4635         0         0   90190
ISHARES TR                     RUSSELL 1000   464287622        154,000      3,150        X       28-4635         0         0    3150
ISHARES TR                     RUSL 2000 VALU 464287630        293,000      5,955        X       28-4635         0         0    5955
ISHARES TR                     RUSL 2000 GROW 464287648        907,000     17,832        X       28-4635         0         0   17832
ISHARES TR                     RUSSELL 2000   464287655        525,000     10,670        X       28-4635         0         0   10670
ISHARES TR                     S&P MIDCP VALU 464287705         36,000        715        X       28-4635         0         0     715
ISHARES TR                     DJ US TELECOMM 464287713         37,000      2,220        X       28-4635         0         0    2220
ISHARES TR                     S&P SMLCP GROW 464287887        364,000      8,168        X       28-4635         0         0    8168
ISHARES TR                     BARCLYS INTER
                               CR             464288588         48,000        500        X       28-4635         0         0     500
ISIS PHARMACEUTICALS IN C      COM            464330109        688,000     48,500        X       28-4635         0         0   48500
ITC HLDGS CORP                 COM            465685105        529,000     12,100        X       28-4635         0         0   12100
ITRON INC                      COM            465741106         66,000      1,030        X       28-4635         0         0    1030
J & J SNACK FOODS CORP         COM            466032109         22,000        600        X       28-4635         0         0     600
JABIL CIRCUIT INC              COM            466313103        107,000     15,916        X       28-4635         0         0   15916
JACK IN THE BOX INC            COM            466367109         22,000      1,000        X       28-4635         0         0    1000
JACOBS ENGR GROUP INC D E L    COM            469814107        763,000     15,879        X       28-4635         0         0   15879
JEFFERIES GROUP INC NEW        COM            472319102          8,000        600        X       28-4635         0         0     600
JOHN BEAN TECHNOLOGIES CORP    COM            477839104         46,000      5,608        X       28-4635         0         0    5608
JOHNSON & JOHNSON              COM            478160104     37,509,000    626,919        X       28-4635         0         0  626919
JOHNSON CTLS INC               COM            478366107        541,000     29,786        X       28-4635         0         0   29786
JONES APPAREL GROUP INC        COM            480074103         20,000      3,340        X       28-4635         0         0    3340
JOY GLOBAL INC                 COM            481165108        105,000      4,597        X       28-4635         0         0    4597
KLA-TENCOR CORP                COM            482480100        541,000     24,809        X       28-4635         0         0   24809
KVH INDS INC                   COM            482738101         17,000      3,200        X       28-4635         0         0    3200
KAISER ALUMINUM CORP           COM PAR $0.01  483007704         11,000        500        X       28-4635         0         0     500







PAGE 273 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KELLOGG CO                     COM            487836108        655,000     14,936        X       28-4635         0         0   14936
KENNAMETAL INC                 COM            489170100        206,000      9,300        X       28-4635         0         0    9300
KEY ENERGY SVCS INC            COM            492914106         37,000      8,500        X       28-4635         0         0    8500
KEYCORP NEW                    COM            493267108        181,000     21,236        X       28-4635         0         0   21236
KIMBERLY CLARK CORP            COM            494368103      1,165,000     22,083        X       28-4635         0         0   22083
KING PHARMACEUTICALS IN C      COM            495582108        669,000     63,002        X       28-4635         0         0   63002
KIRBY CORP                     COM            497266106         12,000        451        X       28-4635         0         0     451
KNOLL INC                      COM NEW        498904200         97,000     10,700        X       28-4635         0         0   10700
KNIGHT CAPITAL GROUP IN C      CL A           499005106        233,000     14,450        X       28-4635         0         0   14450
KOHLS CORP                     COM            500255104        939,000     25,929        X       28-4635         0         0   25929
KROGER CO                      COM            501044101      1,048,000     39,676        X       28-4635         0         0   39676
LSI CORPORATION                COM            502161102        149,000     45,249        X       28-4635         0         0   45249
LTC PPTYS INC                  COM            502175102        120,000      5,900        X       28-4635         0         0    5900
L-3 COMMUNICATIONS HLDG S INC  COM            502424104        924,000     12,521        X       28-4635         0         0   12521
LACLEDE GROUP INC              COM            505597104        817,000     17,450        X       28-4635         0         0   17450
LAM RESEARCH CORP              COM            512807108        159,000      7,459        X       28-4635         0         0    7459
LAMAR ADVERTISING CO           CL A           512815101         28,000      2,235        X       28-4635         0         0    2235
LANDSTAR SYS INC               COM            515098101         88,000      2,282        X       28-4635         0         0    2282
LAS VEGAS SANDS CORP           COM            517834107         22,000      3,748        X       28-4635         0         0    3748
LAUDER ESTEE COS INC           CL A           518439104        246,000      7,956        X       28-4635         0         0    7956
LEAP WIRELESS INTL INC         COM NEW        521863308         26,000        951        X       28-4635         0         0     951
LEGGETT & PLATT INC            COM            524660107         78,000      5,114        X       28-4635         0         0    5114
LEGG MASON INC                 COM            524901105        249,000     11,357        X       28-4635         0         0   11357
LENNAR CORP                    CL A           526057104         76,000      8,809        X       28-4635         0         0    8809
LENNOX INTL INC                COM            526107107      1,164,000     36,050        X       28-4635         0         0   36050
LEUCADIA NATL CORP             COM            527288104        150,000      7,567        X       28-4635         0         0    7567
LEXMARK INTL NEW               CL A           529771107      8,628,000    320,760        X       28-4635         0         0  320760
LIBERTY GLOBAL INC             COM SER A      530555101         71,000      4,484        X       28-4635         0         0    4484
LILLY ELI & CO                 COM            532457108      2,236,000     55,537        X       28-4635         0         0   55537
LIMITED BRANDS INC             COM            532716107        240,000     23,933        X       28-4635         0         0   23933
LINCARE HLDGS INC              COM            532791100      1,325,000     49,216        X       28-4635         0         0   49216







PAGE 274 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LINCOLN ELEC HLDGS INC         COM            533900106         68,000      1,341        X       28-4635         0         0    1341
LINCOLN NATL CORP IND          COM            534187109        212,000     11,243        X       28-4635         0         0   11243
LINEAR TECHNOLOGY CORP         COM            535678106        398,000     17,986        X       28-4635         0         0   17986
LOCKHEED MARTIN CORP           COM            539830109      6,499,000     77,300        X       28-4635         0         0   77300
LOEWS CORP                     COM            540424108     15,381,000    544,466        X       28-4635         0         0  544466
LORILLARD INC                  COM            544147101     10,451,000    185,463        X       28-4635         0         0  185463
LOWES COS INC                  COM            548661107      6,488,000    301,473        X       28-4635         0         0  301473
LUBRIZOL CORP                  COM            549271104        494,000     13,580        X       28-4635         0         0   13580
LUFKIN INDS INC                COM            549764108          5,000        150        X       28-4635         0         0     150
MDU RES GROUP INC              COM            552690109         11,000        500        X       28-4635         0         0     500
MEMC ELECTR MATLS INC          COM            552715104        233,000     16,339        X       28-4635         0         0   16339
MGM MIRAGE                     COM            552953101         55,000      4,007        X       28-4635         0         0    4007
MPS GROUP INC                  COM            553409103        271,000     36,000        X       28-4635         0         0   36000
MACERICH CO                    COM            554382101         35,000      1,938        X       28-4635         0         0    1938
MACK CALI RLTY CORP            COM            554489104         10,000        400        X       28-4635         0         0     400
MADDEN STEVEN LTD              COM            556269108        819,000     38,400        X       28-4635         0         0   38400
MAKITA CORP                    ADR NEW        560877300        200,000      9,000        X       28-4635         0         0    9000
MANITOWOC INC                  COM            563571108         92,000     10,605        X       28-4635         0         0   10605
MANTECH INTL CORP              CL A           564563104        477,000      8,800        X       28-4635         0         0    8800
MARATHON OIL CORP              COM            565849106      1,478,000     54,015        X       28-4635         0         0   54015
MARSH & MCLENNAN COS IN C      COM            571748102      8,963,000    369,285        X       28-4635         0         0  369285
MARSHALL & ILSLEY CORP NEW     COM            571837103        152,000     11,137        X       28-4635         0         0   11137
MARRIOTT INTL INC NEW          CL A           571903202        445,000     22,866        X       28-4635         0         0   22866
MARTIN MARIETTA MATLS I N C    COM            573284106        102,000      1,050        X       28-4635         0         0    1050
MASCO CORP                     COM            574599106        224,000     20,138        X       28-4635         0         0   20138
MASIMO CORP                    COM            574795100        199,000      6,675        X       28-4635         0         0    6675
MASSEY ENERGY CORP             COM            576206106         85,000      6,145        X       28-4635         0         0    6145
MASTEC INC                     COM            576323109        170,000     14,700        X       28-4635         0         0   14700
MATTEL INC                     COM            577081102        253,000     15,833        X       28-4635         0         0   15833
MATTHEWS INTL CORP             CL A           577128101        686,000     18,700        X       28-4635         0         0   18700
MCAFEE INC                     COM            579064106      8,120,000    234,876        X       28-4635         0         0  234876







PAGE 275 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MCCORMICK & CO INC             COM NON VTG    579780206        329,000     10,327        X       28-4635         0         0   10327
MCDERMOTT INTL INC             COM            580037109         52,000      5,221        X       28-4635         0         0    5221
MCDONALDS CORP                 COM            580135101     15,809,000    254,201        X       28-4635         0         0  254201
MCGRAW HILL COS INC            COM            580645109        442,000     19,042        X       28-4635         0         0   19042
MEADWESTVACO CORP              COM            583334107         55,000      4,913        X       28-4635         0         0    4913
MEDICINES CO                   COM            584688105        165,000     11,200        X       28-4635         0         0   11200
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309         89,000      6,400        X       28-4635         0         0    6400
MEDTRONIC INC                  COM            585055106      2,674,000     85,097        X       28-4635         0         0   85097
MERCK & CO INC                 COM            589331107     13,605,000    447,512        X       28-4635         0         0  447512
MEREDITH CORP                  COM            589433101        169,000      9,870        X       28-4635         0         0    9870
MERIT MED SYS INC              COM            589889104          7,000        400        X       28-4635         0         0     400
MERRILL LYNCH & CO INC         COM            590188108      1,097,000     94,225        X       28-4635         0         0   94225
METROPCS COMMUNICATIONS INC    COM            591708102        116,000      7,795        X       28-4635         0         0    7795
METTLER TOLEDO INTERNAT IONAL  COM            592688105         47,000        702        X       28-4635         0         0     702
MICREL INC                     COM            594793101         29,000      3,900        X       28-4635         0         0    3900
MICROSOFT CORP                 COM            594918104     37,789,000  1,943,899        X       28-4635         0         0 1943899
MICROCHIP TECHNOLOGY IN C      COM            595017104      9,001,000    460,897        X       28-4635         0         0  460897
MICRON TECHNOLOGY INC          COM            595112103        108,000     40,747        X       28-4635         0         0   40747
MILLIPORE CORP                 COM            601073109        162,000      3,142        X       28-4635         0         0    3142
MINDRAY MEDICAL INTL LT D      SPON ADR       602675100         70,000      3,900        X       28-4635         0         0    3900
MITSUBISHI UFJ FINL GRO UP IN  SPONSORED ADR  606822104        825,000    132,866        X       28-4635         0         0  132866
MITSUI & CO LTD                ADR            606827202        210,000      1,025        X       28-4635         0         0    1025
MOHAWK INDS INC                COM            608190104          9,000        200        X       28-4635         0         0     200
MOLEX INC                      COM            608554101        161,000     11,095        X       28-4635         0         0   11095
MONRO MUFFLER BRAKE INC        COM            610236101        454,000     17,800        X       28-4635         0         0   17800
MONSTER WORLDWIDE INC          COM            611742107        105,000      8,719        X       28-4635         0         0    8719
MOODYS CORP                    COM            615369105        173,000      8,624        X       28-4635         0         0    8624
MORGAN STANLEY                 COM NEW        617446448        871,000     54,312        X       28-4635         0         0   54312
MOTOROLA INC                   COM            620076109        441,000     99,466        X       28-4635         0         0   99466
MOVADO GROUP INC               COM            624580106        107,000     11,400        X       28-4635         0         0   11400
MUELLER INDS INC               COM            624756102        477,000     19,000        X       28-4635         0         0   19000







PAGE 276 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MURPHY OIL CORP                COM            626717102        602,000     13,582        X       28-4635         0         0   13582
MYERS INDS INC                 COM            628464109         16,000      2,000        X       28-4635         0         0    2000
MYLAN INC                      COM            628530107        278,000     28,159        X       28-4635         0         0   28159
NBT BANCORP INC                COM            628778102        719,000     25,700        X       28-4635         0         0   25700
NBTY INC                       COM            628782104        264,000     16,900        X       28-4635         0         0   16900
NCI BUILDING SYS INC           COM            628852105        108,000      6,600        X       28-4635         0         0    6600
NRG ENERGY INC                 COM NEW        629377508        179,000      7,682        X       28-4635         0         0    7682
NYSE EURONEXT                  COM            629491101        477,000     17,437        X       28-4635         0         0   17437
NASDAQ OMX GROUP INC           COM            631103108      7,635,000    308,972        X       28-4635         0         0  308972
NASH FINCH CO                  COM            631158102        948,000     21,125        X       28-4635         0         0   21125
NATIONAL CITY CORP             COM            635405103      9,456,000  5,224,290        X       28-4635         0         0 5224290
NATIONAL OILWELL VARCO INC     COM            637071101      5,895,000    241,185        X       28-4635         0         0  241185
NATIONAL PENN BANCSHARE S INC  COM            637138108        147,000     10,146        X       28-4635         0         0   10146
NATIONAL PRESTO INDS IN C      COM            637215104        139,000      1,800        X       28-4635         0         0    1800
NATIONAL RETAIL PROPERT IES I  COM            637417106        150,000      8,700        X       28-4635         0         0    8700
NATIONAL SEMICONDUCTOR CORP    COM            637640103        149,000     14,764        X       28-4635         0         0   14764
NATIONAL WESTN LIFE INS CO     CL A           638522102        118,000        700        X       28-4635         0         0     700
NATIONWIDE HEALTH PPTYS INC    COM            638620104        575,000     20,025        X       28-4635         0         0   20025
NAVIGATORS GROUP INC           COM            638904102      1,535,000     27,950        X       28-4635         0         0   27950
NEOGEN CORP                    COM            640491106         10,000        400        X       28-4635         0         0     400
NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107     14,402,000    262,290        X       28-4635         0         0  262290
NEW YORK TIMES CO              CL A           650111107         35,000      4,797        X       28-4635         0         0    4797
NEWALLIANCE BANCSHARES INC     COM            650203102        809,000     61,400        X       28-4635         0         0   61400
NEWELL RUBBERMAID INC          COM            651229106        133,000     13,609        X       28-4635         0         0   13609
NEWMONT MINING CORP            COM            651639106      1,518,000     37,299        X       28-4635         0         0   37299
NICE SYS LTD                   SPONSORED ADR  653656108        597,000     26,587        X       28-4635         0         0   26587
NICOR INC                      COM            654086107         56,000      1,602        X       28-4635         0         0    1602
NIKE INC                       CL B           654106103     17,435,000    341,863        X       28-4635         0         0  341863
NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105         16,000        600        X       28-4635         0         0     600
NOKIA CORP                     SPONSORED ADR  654902204        388,000     24,915        X       28-4635         0         0   24915
NOBLE ENERGY INC               COM            655044105        390,000      7,921        X       28-4635         0         0    7921







PAGE 277 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NORDSTROM INC                  COM            655664100        145,000     10,929        X       28-4635         0         0   10929
NORFOLK SOUTHERN CORP          COM            655844108        986,000     20,953        X       28-4635         0         0   20953
NORTEL NETWORKS CORP NE W      COM NEW        656568508              0        355        X       28-4635         0         0     355
NORTHERN TR CORP               COM            665859104        793,000     15,203        X       28-4635         0         0   15203
NORTHGATE MINERALS CORP        COM            666416102        897,000  1,080,780        X       28-4635         0         0 1080780
NORTHROP GRUMMAN CORP          COM            666807102        591,000     13,115        X       28-4635         0         0   13115
NORTHWEST NAT GAS CO           COM            667655104        336,000      7,600        X       28-4635         0         0    7600
NORTHWESTERN CORP              COM NEW        668074305        696,000     29,650        X       28-4635         0         0   29650
NOVELL INC                     COM            670006105         31,000      7,858        X       28-4635         0         0    7858
NOVELLUS SYS INC               COM            670008101         78,000      6,301        X       28-4635         0         0    6301
NUCOR CORP                     COM            670346105        824,000     17,846        X       28-4635         0         0   17846
NUVASIVE INC                   COM            670704105      2,140,000     61,770        X       28-4635         0         0   61770
OM GROUP INC                   COM            670872100        468,000     22,150        X       28-4635         0         0   22150
OSI PHARMACEUTICALS INC        COM            671040103      1,343,000     34,400        X       28-4635         0         0   34400
OSI SYSTEMS INC                COM            671044105        858,000     61,960        X       28-4635         0         0   61960
OCCIDENTAL PETE CORP DE L      COM            674599105      3,855,000     64,275        X       28-4635         0         0   64275
OCEANEERING INTL INC           COM            675232102        240,000      8,251        X       28-4635         0         0    8251
OFFICE DEPOT INC               COM            676220106         35,000     11,810        X       28-4635         0         0   11810
OIL STS INTL INC               COM            678026105      1,091,000     58,355        X       28-4635         0         0   58355
OMNICARE INC                   COM            681904108         67,000      2,413        X       28-4635         0         0    2413
OMNICOM GROUP INC              COM            681919106        723,000     26,888        X       28-4635         0         0   26888
ON SEMICONDUCTOR CORP          COM            682189105          9,000      2,770        X       28-4635         0         0    2770
ORBITAL SCIENCES CORP          COM            685564106         15,000        775        X       28-4635         0         0     775
O REILLY AUTOMOTIVE INC        COM            686091109         94,000      3,049        X       28-4635         0         0    3049
ORIX CORP                      SPONSORED ADR  686330101         69,000      2,425        X       28-4635         0         0    2425
OSHKOSH CORP                   COM            688239201         18,000      1,987        X       28-4635         0         0    1987
OWENS & MINOR INC NEW          COM            690732102        297,000      7,900        X       28-4635         0         0    7900
OWENS CORNING NEW              COM            690742101        125,000      7,200        X       28-4635         0         0    7200
OWENS ILL INC                  COM NEW        690768403      2,774,000    101,506        X       28-4635         0         0  101506
PNC FINL SVCS GROUP INC        COM            693475105      5,766,000    117,686        X       28-4635         0         0  117686
POSCO                          SPONSORED ADR  693483109         96,000      1,275        X       28-4635         0         0    1275







PAGE 278 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PPG INDS INC                   COM            693506107        323,000      7,624        X       28-4635         0         0    7624
PACCAR INC                     COM            693718108        876,000     30,638        X       28-4635         0         0   30638
PACKAGING CORP AMER            COM            695156109         48,000      3,596        X       28-4635         0         0    3596
PACTIV CORP                    COM            695257105      3,569,000    143,433        X       28-4635         0         0  143433
PALL CORP                      COM            696429307        132,000      4,656        X       28-4635         0         0    4656
PALOMAR MED TECHNOLOGIE S INC  COM NEW        697529303         53,000      4,600        X       28-4635         0         0    4600
PANTRY INC                     COM            698657103        277,000     12,900        X       28-4635         0         0   12900
PARAMETRIC TECHNOLOGY C ORP    COM NEW        699173209        557,000     44,000        X       28-4635         0         0   44000
PARK ELECTROCHEMICAL CO RP     COM            700416209         19,000      1,000        X       28-4635         0         0    1000
PARKER DRILLING CO             COM            701081101          7,000      2,500        X       28-4635         0         0    2500
PARKER HANNIFIN CORP           COM            701094104        632,000     14,861        X       28-4635         0         0   14861
PATTERSON COMPANIES INC        COM            703395103        138,000      7,369        X       28-4635         0         0    7369
PAYCHEX INC                    COM            704326107      6,259,000    238,160        X       28-4635         0         0  238160
PEABODY ENERGY CORP            COM            704549104        525,000     23,075        X       28-4635         0         0   23075
PEDIATRIX MED GROUP            COM            705324101         72,000      2,263        X       28-4635         0         0    2263
PENN NATL GAMING INC           COM            707569109        986,000     46,137        X       28-4635         0         0   46137
PENNEY J C INC                 COM            708160106        188,000      9,568        X       28-4635         0         0    9568
PENTAIR INC                    COM            709631105         85,000      3,600        X       28-4635         0         0    3600
PEOPLES UNITED FINANCIA L INC  COM            712704105        409,000     22,938        X       28-4635         0         0   22938
PEPCO HOLDINGS INC             COM            713291102        153,000      8,613        X       28-4635         0         0    8613
PEPSI BOTTLING GROUP IN C      COM            713409100        145,000      6,446        X       28-4635         0         0    6446
PEPSICO INC                    COM            713448108     21,034,000    384,032        X       28-4635         0         0  384032
PERICOM SEMICONDUCTOR C ORP    COM            713831105         39,000      7,200        X       28-4635         0         0    7200
PERINI CORP                    COM            713839108        843,000     36,050        X       28-4635         0         0   36050
PERKINELMER INC                COM            714046109         99,000      7,100        X       28-4635         0         0    7100
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        103,000      7,500        X       28-4635         0         0    7500
PEROT SYS CORP                 CL A           714265105      2,580,000    188,720        X       28-4635         0         0  188720
PERRIGO CO                     COM            714290103      1,559,000     48,250        X       28-4635         0         0   48250
P T TELEKOMUNIKASI INDO NESIA  SPONSORED ADR  715684106         25,000      1,000        X       28-4635         0         0    1000
PETMED EXPRESS INC             COM            716382106        961,000     54,500        X       28-4635         0         0   54500
PETROHAWK ENERGY CORP          COM            716495106         66,000      4,205        X       28-4635         0         0    4205







PAGE 279 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PETSMART INC                   COM            716768106        104,000      5,663        X       28-4635         0         0    5663
PFIZER INC                     COM            717081103     29,467,000  1,663,860        X       28-4635         0         0 1663860
PHARMACEUTICAL PROD DEV INC    COM            717124101      1,545,000     53,242        X       28-4635         0         0   53242
PHILIP MORRIS INTL INC         COM            718172109      7,225,000    166,051        X       28-4635         0         0  166051
PHILLIPS VAN HEUSEN COR P      COM            718592108         18,000        900        X       28-4635         0         0     900
PIEDMONT NAT GAS INC           COM            720186105        203,000      6,400        X       28-4635         0         0    6400
PINNACLE ENTMT INC             COM            723456109         73,000      9,500        X       28-4635         0         0    9500
PINNACLE WEST CAP CORP         COM            723484101        140,000      4,354        X       28-4635         0         0    4354
PIONEER NAT RES CO             COM            723787107         86,000      5,320        X       28-4635         0         0    5320
PITNEY BOWES INC               COM            724479100        310,000     12,176        X       28-4635         0         0   12176
PLAINS EXPL& PRODTN CO         COM            726505100         40,000      1,701        X       28-4635         0         0    1701
PLEXUS CORP                    COM            729132100        110,000      6,500        X       28-4635         0         0    6500
PLUM CREEK TIMBER CO IN C      COM            729251108        284,000      8,183        X       28-4635         0         0    8183
POLARIS INDS INC               COM            731068102        484,000     16,900        X       28-4635         0         0   16900
POLO RALPH LAUREN CORP         CL A           731572103        199,000      4,390        X       28-4635         0         0    4390
PORTLAND GEN ELEC CO           COM NEW        736508847        204,000     10,500        X       28-4635         0         0   10500
POTLATCH CORP NEW              COM            737630103        177,000      6,800        X       28-4635         0         0    6800
PRE PAID LEGAL SVCS INC        COM            740065107        198,000      5,300        X       28-4635         0         0    5300
PRECISION CASTPARTS COR P      COM            740189105        599,000     10,064        X       28-4635         0         0   10064
PREMIERE GLOBAL SVCS IN C      COM            740585104        607,000     70,545        X       28-4635         0         0   70545
PRICELINE COM INC              COM NEW        741503403        104,000      1,410        X       28-4635         0         0    1410
PROCTER & GAMBLE CO            COM            742718109     14,415,000    233,196        X       28-4635         0         0  233196
PROGRESS ENERGY INC            COM            743263105        478,000     11,992        X       28-4635         0         0   11992
PROGRESS SOFTWARE CORP         COM            743312100         17,000        900        X       28-4635         0         0     900
PROGRESSIVE CORP OHIO          COM            743315103        433,000     29,265        X       28-4635         0         0   29265
PROLOGIS                       SH BEN INT     743410102        156,000     11,219        X       28-4635         0         0   11219
PROSPERITY BANCSHARES I N C    COM            743606105        872,000     29,470        X       28-4635         0         0   29470
PRUDENTIAL FINL INC            COM            744320102        646,000     21,353        X       28-4635         0         0   21353
PUBLIC SVC ENTERPRISE G ROUP   COM            744573106      1,358,000     46,543        X       28-4635         0         0   46543
PULTE HOMES INC                COM            745867101        214,000     19,548        X       28-4635         0         0   19548
QLOGIC CORP                    COM            747277101        482,000     35,847        X       28-4635         0         0   35847







PAGE 280 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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     17,232,000    480,933        X       28-4635         0         0  480933
QUANEX BUILDING PRODUCT S COR  COM            747619104          9,000      1,000        X       28-4635         0         0    1000
QUESTAR CORP                   COM            748356102        330,000     10,109        X       28-4635         0         0   10109
QWEST COMMUNICATIONS IN TL IN  COM            749121109        251,000     68,856        X       28-4635         0         0   68856
RPM INTL INC                   COM            749685103         18,000      1,370        X       28-4635         0         0    1370
RACKABLE SYS INC               COM            750077109         26,000      6,500        X       28-4635         0         0    6500
RADIOSHACK CORP                COM            750438103        140,000     11,758        X       28-4635         0         0   11758
RAMBUS INC DEL                 COM            750917106          5,000        325        X       28-4635         0         0     325
RALCORP HLDGS INC NEW          COM            751028101        616,000     10,550        X       28-4635         0         0   10550
RAYMOND JAMES FINANCIAL INC    COM            754730109         90,000      5,250        X       28-4635         0         0    5250
RAYTHEON CO                    COM NEW        755111507      1,340,000     26,262        X       28-4635         0         0   26262
REALTY INCOME CORP             COM            756109104         37,000      1,600        X       28-4635         0         0    1600
RED HAT INC                    COM            756577102        161,000     12,171        X       28-4635         0         0   12171
REGAL BELOIT CORP              COM            758750103      1,430,000     37,650        X       28-4635         0         0   37650
REGIS CORP MINN                COM            758932107        334,000     23,000        X       28-4635         0         0   23000
REHABCARE GROUP INC            COM            759148109        115,000      7,600        X       28-4635         0         0    7600
REPUBLIC BANCORP KY            CL A           760281204        199,000      7,300        X       28-4635         0         0    7300
REPUBLIC SVCS INC              COM            760759100        453,000     18,270        X       28-4635         0         0   18270
RES-CARE INC                   COM            760943100        802,000     53,400        X       28-4635         0         0   53400
RESEARCH IN MOTION LTD         COM            760975102         19,000        459        X       28-4635         0         0     459
RESMED INC                     COM            761152107        114,000      3,045        X       28-4635         0         0    3045
REYNOLDS AMERICAN INC          COM            761713106        307,000      7,616        X       28-4635         0         0    7616
RIO TINTO PLC                  SPONSORED ADR  767204100         91,000      1,025        X       28-4635         0         0    1025
ROBERT HALF INTL INC           COM            770323103        211,000     10,117        X       28-4635         0         0   10117
ROCKWELL AUTOMATION INC        COM            773903109        470,000     14,564        X       28-4635         0         0   14564
ROCKWELL COLLINS INC           COM            774341101        465,000     11,894        X       28-4635         0         0   11894
ROFIN SINAR TECHNOLOGIE S INC  COM            775043102        417,000     20,260        X       28-4635         0         0   20260
ROGERS CORP                    COM            775133101        181,000      6,500        X       28-4635         0         0    6500
ROHM & HAAS CO                 COM            775371107        444,000      7,191        X       28-4635         0         0    7191
ROPER INDS INC NEW             COM            776696106        371,000      8,545        X       28-4635         0         0    8545
ROSS STORES INC                COM            778296103        217,000      7,310        X       28-4635         0         0    7310







PAGE 281 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ROWAN COS INC                  COM            779382100        126,000      7,896        X       28-4635         0         0    7896
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206        174,000      3,280        X       28-4635         0         0    3280
RUDDICK CORP                   COM            781258108        534,000     19,300        X       28-4635         0         0   19300
RYDER SYS INC                  COM            783549108         81,000      2,090        X       28-4635         0         0    2090
SEI INVESTMENTS CO             COM            784117103        501,000     31,904        X       28-4635         0         0   31904
SPX CORP                       COM            784635104         98,000      2,420        X       28-4635         0         0    2420
SABINE ROYALTY TR              UNIT BEN INT   785688102        135,000      3,300        X       28-4635         0         0    3300
SAFEWAY INC                    COM NEW        786514208      3,927,000    165,192        X       28-4635         0         0  165192
ST JOE CO                      COM            790148100         59,000      2,416        X       28-4635         0         0    2416
ST JUDE MED INC                COM            790849103      1,059,000     32,127        X       28-4635         0         0   32127
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105        430,000     13,900        X       28-4635         0         0   13900
SANDY SPRING BANCORP IN C      COM            800363103         17,000        800        X       28-4635         0         0     800
SANTARUS INC                   COM            802817304         20,000     12,600        X       28-4635         0         0   12600
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204        964,000     26,602        X       28-4635         0         0   26602
SAPIENT CORP                   COM            803062108         15,000      3,300        X       28-4635         0         0    3300
SARA LEE CORP                  COM            803111103      8,207,000    838,304        X       28-4635         0         0  838304
SAUER-DANFOSS INC              COM            804137107         34,000      3,900        X       28-4635         0         0    3900
SCANSOURCE INC                 COM            806037107        193,000     10,000        X       28-4635         0         0   10000
SCHEIN HENRY INC               COM            806407102         87,000      2,375        X       28-4635         0         0    2375
SCHERING PLOUGH CORP           COM            806605101      1,975,000    115,999        X       28-4635         0         0  115999
SCHLUMBERGER LTD               COM            806857108     12,890,000    304,502        X       28-4635         0         0  304502
SCHNITZER STL INDS             CL A           806882106         13,000        335        X       28-4635         0         0     335
SCHOOL SPECIALTY INC           COM            807863105        128,000      6,700        X       28-4635         0         0    6700
SCHWAB CHARLES CORP NEW        COM            808513105      1,727,000    106,801        X       28-4635         0         0  106801
SCRIPPS NETWORKS INTERA CT IN  CL A COM       811065101         43,000      1,965        X       28-4635         0         0    1965
SEARS HLDGS CORP               COM            812350106         92,000      2,377        X       28-4635         0         0    2377
SELECTIVE INS GROUP INC        COM            816300107        540,000     23,550        X       28-4635         0         0   23550
SEMTECH CORP                   COM            816850101         65,000      5,800        X       28-4635         0         0    5800
SEMPRA ENERGY                  COM            816851109        438,000     10,285        X       28-4635         0         0   10285
SEPRACOR INC                   COM            817315104         45,000      4,068        X       28-4635         0         0    4068
SHAW GROUP INC                 COM            820280105        708,000     34,565        X       28-4635         0         0   34565







PAGE 282 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SHERWIN WILLIAMS CO            COM            824348106        400,000      6,690        X       28-4635         0         0    6690
SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100         24,000        500        X       28-4635         0         0     500
SIEMENS A G                    SPONSORED ADR  826197501        244,000      3,225        X       28-4635         0         0    3225
SIGMA ALDRICH CORP             COM            826552101        732,000     17,339        X       28-4635         0         0   17339
SILICON LABORATORIES IN C      COM            826919102         57,000      2,319        X       28-4635         0         0    2319
SILICONWARE PRECISION I NDS L  SPONSD ADR SPL 827084864         90,000     20,173        X       28-4635         0         0   20173
SIMON PPTY GROUP INC NE W      COM            828806109        803,000     15,120        X       28-4635         0         0   15120
SKILLSOFT PLC                  SPONSORED ADR  830928107      1,112,000    155,687        X       28-4635         0         0  155687
SMITH INTL INC                 COM            832110100        353,000     15,438        X       28-4635         0         0   15438
SMUCKER J M CO                 COM NEW        832696405        186,000      4,280        X       28-4635         0         0    4280
SNAP ON INC                    COM            833034101        676,000     17,161        X       28-4635         0         0   17161
SONIC CORP                     COM            835451105      1,037,000     85,210        X       28-4635         0         0   85210
SONOCO PRODS CO                COM            835495102          9,000        400        X       28-4635         0         0     400
SONY CORP                      ADR NEW        835699307        108,000      4,920        X       28-4635         0         0    4920
SOUTH JERSEY INDS INC          COM            838518108          8,000        200        X       28-4635         0         0     200
SOUTHERN CO                    COM            842587107      1,260,000     34,067        X       28-4635         0         0   34067
SOUTHWEST AIRLS CO             COM            844741108        284,000     32,920        X       28-4635         0         0   32920
SOUTHWEST BANCORP INC O KLA    COM            844767103        202,000     15,600        X       28-4635         0         0   15600
SOUTHWESTERN ENERGY CO         COM            845467109        814,000     28,097        X       28-4635         0         0   28097
SOVEREIGN BANCORP INC          COM            845905108         68,000     22,821        X       28-4635         0         0   22821
SPARTAN STORES INC             COM            846822104        677,000     29,100        X       28-4635         0         0   29100
SPARTECH CORP                  COM NEW        847220209          9,000      1,500        X       28-4635         0         0    1500
SPECTRA ENERGY CORP            COM            847560109        466,000     29,644        X       28-4635         0         0   29644
SPRINT NEXTEL CORP             COM SER 1      852061100        238,000    130,271        X       28-4635         0         0  130271
STANCORP FINL GROUP INC        COM            852891100         23,000        550        X       28-4635         0         0     550
STANLEY INC                    COM            854532108         19,000        525        X       28-4635         0         0     525
STANLEY WKS                    COM            854616109         97,000      2,842        X       28-4635         0         0    2842
STAPLES INC                    COM            855030102        916,000     51,094        X       28-4635         0         0   51094
STARBUCKS CORP                 COM            855244109        538,000     56,859        X       28-4635         0         0   56859
STATE STR CORP                 COM            857477103        979,000     24,888        X       28-4635         0         0   24888
STEEL DYNAMICS INC             COM            858119100         29,000      2,600        X       28-4635         0         0    2600







PAGE 283 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STERLING BANCSHARES INC        COM            858907108        244,000     40,180        X       28-4635         0         0   40180
STERICYCLE INC                 COM            858912108      7,411,000    142,301        X       28-4635         0         0  142301
STERIS CORP                    COM            859152100        258,000     10,800        X       28-4635         0         0   10800
STEWART ENTERPRISES INC        CL A           860370105         62,000     20,600        X       28-4635         0         0   20600
STIFEL FINL CORP               COM            860630102         18,000        400        X       28-4635         0         0     400
STONE ENERGY CORP              COM            861642106         13,000      1,175        X       28-4635         0         0    1175
STRAYER ED INC                 COM            863236105      3,730,000     17,395        X       28-4635         0         0   17395
STRYKER CORP                   COM            863667101      1,182,000     29,591        X       28-4635         0         0   29591
SUN MICROSYSTEMS INC           COM NEW        866810203        122,000     32,035        X       28-4635         0         0   32035
SUN HEALTHCARE GROUP IN C      COM NEW        866933401         60,000      6,800        X       28-4635         0         0    6800
SUNCOR ENERGY INC              COM            867229106         61,000      3,150        X       28-4635         0         0    3150
SUNPOWER CORP                  COM CL A       867652109         49,000      1,330        X       28-4635         0         0    1330
SUNPOWER CORP                  COM CL B       867652307         28,000        925        X       28-4635         0         0     925
SUNTRUST BKS INC               COM            867914103        685,000     23,188        X       28-4635         0         0   23188
SUPERIOR ENERGY SVCS IN C      COM            868157108        139,000      8,756        X       28-4635         0         0    8756
SUPERVALU INC                  COM            868536103        151,000     10,359        X       28-4635         0         0   10359
SYBASE INC                     COM            871130100      2,214,000     89,400        X       28-4635         0         0   89400
SYMANTEC CORP                  COM            871503108        575,000     42,554        X       28-4635         0         0   42554
SYSCO CORP                     COM            871829107      1,069,000     46,580        X       28-4635         0         0   46580
TCF FINL CORP                  COM            872275102        143,000     10,500        X       28-4635         0         0   10500
TECO ENERGY INC                COM            872375100        990,000     80,180        X       28-4635         0         0   80180
TJX COS INC NEW                COM            872540109        561,000     27,290        X       28-4635         0         0   27290
TAIWAN SEMICONDUCTOR MF G LTD  SPONSORED ADR  874039100        179,000     22,634        X       28-4635         0         0   22634
TECHNE CORP                    COM            878377100      1,324,000     20,524        X       28-4635         0         0   20524
TELECOM CORP NEW ZEALAN D LTD  SPONSORED ADR  879278208          6,000        900        X       28-4635         0         0     900
TELEDYNE TECHNOLOGIES I N C    COM            879360105        780,000     17,500        X       28-4635         0         0   17500
TELEFLEX INC                   COM            879369106        245,000      4,900        X       28-4635         0         0    4900
TELEFONICA S A                 SPONSORED ADR  879382208        104,000      1,550        X       28-4635         0         0    1550
TELEPHONE & DATA SYS IN C      COM            879433100         49,000      1,555        X       28-4635         0         0    1555
TELLABS INC                    COM            879664100         89,000     21,505        X       28-4635         0         0   21505
TERADYNE INC                   COM            880770102         66,000     15,576        X       28-4635         0         0   15576







PAGE 284 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TEREX CORP NEW                 COM            880779103         53,000      3,080        X       28-4635         0         0    3080
TERRA INDS INC                 COM            880915103         46,000      2,780        X       28-4635         0         0    2780
TESORO CORP                    COM            881609101        113,000      8,603        X       28-4635         0         0    8603
TEVA PHARMACEUTICAL IND S LTD  ADR            881624209      5,629,000    132,234        X       28-4635         0         0  132234
TEXAS INSTRS INC               COM            882508104      1,615,000    104,086        X       28-4635         0         0  104086
TEXTRON INC                    COM            883203101        195,000     14,043        X       28-4635         0         0   14043
THERMO FISHER SCIENTIFI C INC  COM            883556102     10,395,000    305,098        X       28-4635         0         0  305098
THOMAS & BETTS CORP            COM            884315102          5,000        200        X       28-4635         0         0     200
THOMPSON CREEK METALS C O INC  COM            884768102          2,000        500        X       28-4635         0         0     500
THOR INDS INC                  COM            885160101         18,000      1,330        X       28-4635         0         0    1330
TIDEWATER INC                  COM            886423102      4,323,000    107,340        X       28-4635         0         0  107340
TIFFANY & CO NEW               COM            886547108        212,000      8,964        X       28-4635         0         0    8964
TIMBERLAND CO                  CL A           887100105         23,000      2,000        X       28-4635         0         0    2000
TIME WARNER INC                COM            887317105     11,038,000  1,097,207        X       28-4635         0         0 1097207
TITANIUM METALS CORP           COM NEW        888339207         60,000      6,846        X       28-4635         0         0    6846
TOMPKINS FINANCIAL CORP ORATI  COM            890110109        116,000      2,000        X       28-4635         0         0    2000
TORCHMARK CORP                 COM            891027104        163,000      3,638        X       28-4635         0         0    3638
TORO CO                        COM            891092108         45,000      1,350        X       28-4635         0         0    1350
TOWER GROUP INC                COM            891777104        166,000      5,900        X       28-4635         0         0    5900
TOTAL SYS SVCS INC             COM            891906109        199,000     14,212        X       28-4635         0         0   14212
TRACTOR SUPPLY CO              COM            892356106        461,000     12,750        X       28-4635         0         0   12750
TRANSDIGM GROUP INC            COM            893641100         97,000      2,900        X       28-4635         0         0    2900
TREDEGAR CORP                  COM            894650100        918,000     50,500        X       28-4635         0         0   50500
TREE COM INC                   COM            894675107              0         55        X       28-4635         0         0      55
TRIMBLE NAVIGATION LTD         COM            896239100      2,309,000    106,850        X       28-4635         0         0  106850
TRINITY INDS INC               COM            896522109         21,000      1,350        X       28-4635         0         0    1350
TRUSTCO BK CORP N Y            COM            898349105        146,000     15,400        X       28-4635         0         0   15400
TYLER TECHNOLOGIES INC         COM            902252105        731,000     61,025        X       28-4635         0         0   61025
TYSON FOODS INC                CL A           902494103        148,000     16,878        X       28-4635         0         0   16878
UGI CORP NEW                   COM            902681105      2,633,000    107,830        X       28-4635         0         0  107830
UMB FINL CORP                  COM            902788108        173,000      3,525        X       28-4635         0         0    3525







PAGE 285 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UST INC                        COM            902911106        555,000      8,002        X       28-4635         0         0    8002
US BANCORP DEL                 COM NEW        902973304      2,124,000     84,895        X       28-4635         0         0   84895
URS CORP NEW                   COM            903236107         20,000        500        X       28-4635         0         0     500
UMPQUA HLDGS CORP              COM            904214103         13,000        900        X       28-4635         0         0     900
UNIFIRST CORP MASS             COM            904708104      1,060,000     35,700        X       28-4635         0         0   35700
UNILEVER N V N                 Y SHS NEW      904784709        118,000      4,800        X       28-4635         0         0    4800
UNION PAC CORP                 COM            907818108      1,742,000     36,444        X       28-4635         0         0   36444
UNIT CORP                      COM            909218109         61,000      2,268        X       28-4635         0         0    2268
UNITED BANKSHARES INC W EST V  COM            909907107        593,000     17,848        X       28-4635         0         0   17848
UNITED FIRE & CAS CO           COM            910331107         47,000      1,500        X       28-4635         0         0    1500
UNITED PARCEL SERVICE I N C    CL B           911312106      6,883,000    124,780        X       28-4635         0         0  124780
UNITED STATES CELLULAR CORP    COM            911684108          9,000        205        X       28-4635         0         0     205
UNITED STATES STL CORP NEW     COM            912909108        331,000      8,890        X       28-4635         0         0    8890
UNITED STATIONERS INC          COM            913004107      1,322,000     39,480        X       28-4635         0         0   39480
UNITED TECHNOLOGIES COR P      COM            913017109     19,741,000    368,311        X       28-4635         0         0  368311
UNIVERSAL CORP VA              COM            913456109         81,000      2,700        X       28-4635         0         0    2700
UNIVERSAL STAINLESS & A LLOY   COM            913837100        874,000     60,330        X       28-4635         0         0   60330
UNIVERSAL HLTH SVCS INC        CL B           913903100          8,000        200        X       28-4635         0         0     200
URBAN OUTFITTERS INC           COM            917047102        224,000     14,935        X       28-4635         0         0   14935
URSTADT BIDDLE PPTYS IN S      CL A           917286205        680,000     42,675        X       28-4635         0         0   42675
VCA ANTECH INC                 COM            918194101         45,000      2,243        X       28-4635         0         0    2243
V F CORP                       COM            918204108        219,000      3,997        X       28-4635         0         0    3997
VSE CORP                       COM            918284100         12,000        300        X       28-4635         0         0     300
VALLEY NATL BANCORP            COM            919794107      1,191,000     58,830        X       28-4635         0         0   58830
VALMONT INDS INC               COM            920253101         30,000        493        X       28-4635         0         0     493
VANGUARD WORLD FD              MEGA CAP INDEX 921910873      1,070,000     33,963        X       28-4635         0         0   33963
VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858         91,000      3,326        X       28-4635         0         0    3326
VANGUARD INTL EQUITY IN DEX F  ALLWRLD EX US  922042775        466,000     14,423        X       28-4635         0         0   14423
VANGUARD INTL EQUITY IN DEX F  EMR MKT ETF    922042858      3,807,000    161,519        X       28-4635         0         0  161519
VARIAN SEMICONDUCTOR EQ UIPMN  COM            922207105         16,000        857        X       28-4635         0         0     857
VANGUARD INDEX FDS             SM CP VAL ETF  922908611         32,000        755        X       28-4635         0         0     755







PAGE 286 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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             MID CAP ETF    922908629        198,000      4,575        X       28-4635         0         0    4575
VANGUARD INDEX FDS             VALUE ETF      922908744         98,000      2,372        X       28-4635         0         0    2372
VANGUARD INDEX FDS             SMALL CP ETF   922908751        288,000      6,790        X       28-4635         0         0    6790
VIROPHARMA INC                 COM            928241108        177,000     13,600        X       28-4635         0         0   13600
VMWARE INC                     CL A COM       928563402         62,000      2,634        X       28-4635         0         0    2634
VORNADO RLTY TR                SH BEN INT     929042109        358,000      5,931        X       28-4635         0         0    5931
VULCAN MATLS CO                COM            929160109        363,000      5,216        X       28-4635         0         0    5216
WMS INDS INC                   COM            929297109          7,000        250        X       28-4635         0         0     250
WABTEC CORP                    COM            929740108        898,000     22,600        X       28-4635         0         0   22600
WACHOVIA CORP NEW              COM            929903102        539,000     97,332        X       28-4635         0         0   97332
WADDELL & REED FINL INC        CL A           930059100          9,000        550        X       28-4635         0         0     550
WAL MART STORES INC            COM            931142103     32,397,000    577,912        X       28-4635         0         0  577912
WALGREEN CO                    COM            931422109      1,922,000     77,903        X       28-4635         0         0   77903
WARNACO GROUP INC              COM NEW        934390402         65,000      3,300        X       28-4635         0         0    3300
WASHINGTON FED INC             COM            938824109         57,000      3,783        X       28-4635         0         0    3783
WASHINGTON POST CO             CL B           939640108        100,000        256        X       28-4635         0         0     256
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        175,000      6,200        X       28-4635         0         0    6200
WASHINGTON TR BANCORP          COM            940610108         18,000        900        X       28-4635         0         0     900
WASTE CONNECTIONS INC          COM            941053100        874,000     27,696        X       28-4635         0         0   27696
WATERS CORP                    COM            941848103        307,000      8,376        X       28-4635         0         0    8376
WATSCO INC                     COM            942622200        108,000      2,800        X       28-4635         0         0    2800
WATSON PHARMACEUTICALS INC     COM            942683103        253,000      9,530        X       28-4635         0         0    9530
WATSON WYATT WORLDWIDE INC     CL A           942712100      1,439,000     30,100        X       28-4635         0         0   30100
WATTS WATER TECHNOLOGIE S INC  CL A           942749102        130,000      5,200        X       28-4635         0         0    5200
WEBSENSE INC                   COM            947684106         10,000        700        X       28-4635         0         0     700
WEBSTER FINL CORP CONN         COM            947890109         55,000      4,000        X       28-4635         0         0    4000
WEINGARTEN RLTY INVS           SH BEN INT     948741103         25,000      1,200        X       28-4635         0         0    1200
WELLS FARGO & CO NEW           COM            949746101      7,462,000    253,105        X       28-4635         0         0  253105
WENDYS ARBYS GROUP INC         COM            950587105         16,000      3,156        X       28-4635         0         0    3156
WERNER ENTERPRISES INC         COM            950755108        195,000     11,250        X       28-4635         0         0   11250
WESTERN DIGITAL CORP           COM            958102105        153,000     13,402        X       28-4635         0         0   13402







PAGE 287 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 UN CO                  COM            959802109        909,000     63,379        X       28-4635         0         0   63379
WET SEAL INC                   CL A           961840105         21,000      7,200        X       28-4635         0         0    7200
WEYERHAEUSER CO                COM            962166104      8,581,000    280,327        X       28-4635         0         0  280327
WHIRLPOOL CORP                 COM            963320106        114,000      2,759        X       28-4635         0         0    2759
WHITING PETE CORP NEW          COM            966387102         11,000        325        X       28-4635         0         0     325
WHITNEY HLDG CORP              COM            966612103         22,000      1,400        X       28-4635         0         0    1400
WHOLE FOODS MKT INC            COM            966837106         64,000      6,814        X       28-4635         0         0    6814
WILLBROS GROUP INC             COM            969199108         24,000      2,800        X       28-4635         0         0    2800
WILLIAMS COS INC DEL           COM            969457100        578,000     39,910        X       28-4635         0         0   39910
WILLIAMS CLAYTON ENERGY INC    COM            969490101      1,226,000     26,970        X       28-4635         0         0   26970
WILMINGTON TRUST CORP          COM            971807102          7,000        300        X       28-4635         0         0     300
WISCONSIN ENERGY CORP          COM            976657106        200,000      4,776        X       28-4635         0         0    4776
WOLVERINE WORLD WIDE IN C      COM            978097103        785,000     37,300        X       28-4635         0         0   37300
WOORI FIN HLDGS CO LTD         ADR            981063100         24,000      1,700        X       28-4635         0         0    1700
WYETH                          COM            983024100      5,983,000    159,513        X       28-4635         0         0  159513
WYNN RESORTS LTD               COM            983134107        239,000      5,654        X       28-4635         0         0    5654
XILINX INC                     COM            983919101        389,000     21,843        X       28-4635         0         0   21843
XEROX CORP                     COM            984121103        324,000     40,573        X       28-4635         0         0   40573
YAHOO INC                      COM            984332106      8,207,000    672,675        X       28-4635         0         0  672675
YUM BRANDS INC                 COM            988498101      1,118,000     35,473        X       28-4635         0         0   35473
ZEBRA TECHNOLOGIES CORP        CL A           989207105         56,000      2,740        X       28-4635         0         0    2740
ZIONS BANCORPORATION           COM            989701107        121,000      4,918        X       28-4635         0         0    4918
DUN & BRADSTREET CORP D EL NE  COM            26483E100        277,000      3,586        X       28-4635         0         0    3586
COVANTA HLDG CORP              COM            22282E102      4,359,000    198,514        X       28-4635         0         0  198514
ACERGY S A                     SPONSORED ADR  00443E104         63,000     10,850        X       28-4635         0         0   10850
LENDER PROCESSING SVCS INC     COM            52602E102         36,000      1,222        X       28-4635         0         0    1222
QUANTA SVCS INC                COM            74762E102        174,000      8,750        X       28-4635         0         0    8750
VERISIGN INC                   COM            92343E102        299,000     15,688        X       28-4635         0         0   15688
AMERISOURCEBERGEN CORP         COM            03073E105        537,000     15,063        X       28-4635         0         0   15063
NEWS CORP                      CL A           65248E104      1,157,000    127,231        X       28-4635         0         0  127231
AMERICAN EAGLE OUTFITTE RS NE  COM            02553E106        159,000     16,946        X       28-4635         0         0   16946







PAGE 288 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EMBARQ CORP                    COM            29078E105        357,000      9,934        X       28-4635         0         0    9934
INVENTIV HEALTH INC            COM            46122E105         15,000      1,300        X       28-4635         0         0    1300
BRE PROPERTIES INC             CL A           05564E106        118,000      4,200        X       28-4635         0         0    4200
UNIVERSAL HEALTH RLTY I NCM T  SH BEN INT     91359E105        917,000     27,850        X       28-4635         0         0   27850
JAKKS PAC INC                  COM            47012E106        526,000     25,500        X       28-4635         0         0   25500
TARGET CORP                    COM            87612E106      6,069,000    175,761        X       28-4635         0         0  175761
EDWARDS LIFESCIENCES CO RP     COM            28176E108        104,000      1,893        X       28-4635         0         0    1893
NCR CORP NEW                   COM            62886E108         30,000      2,128        X       28-4635         0         0    2128
COMPLETE PRODUCTION SER VICES  COM            20453E109         97,000     11,900        X       28-4635         0         0   11900
DR PEPPER SNAPPLE GROUP INC    COM            26138E109        127,000      7,824        X       28-4635         0         0    7824
TOTAL S A                      SPONSORED ADR  89151E109        128,000      2,310        X       28-4635         0         0    2310
TRAVELERS COMPANIES INC        COM            89417E109      4,378,000     96,861        X       28-4635         0         0   96861
J2 GLOBAL COMMUNICATION S INC  COM NEW        46626E205      3,986,000    198,890        X       28-4635         0         0  198890
BHP BILLITON PLC               SPONSORED ADR  05545E209      1,427,000     37,000        X       28-4635         0         0   37000
CAPSTEAD MTG CORP              PFD A CV $1.60 14067E209          9,000        500        X       28-4635         0         0     500
AES CORP                       COM            00130H105      9,212,000  1,117,904        X       28-4635         0         0 1117904
AT&T INC                       COM            00206R102     13,469,000    472,595        X       28-4635         0         0  472595
ATMI INC                       COM            00207R101        108,000      7,000        X       28-4635         0         0    7000
ATP OIL & GAS CORP             COM            00208J108        359,000     61,430        X       28-4635         0         0   61430
ATC TECHNOLOGY CORP            COM            00211W104         88,000      6,000        X       28-4635         0         0    6000
ABRAXIS BIOSCIENCE INC NEW     COM            00383Y102         13,000        200        X       28-4635         0         0     200
ACORDA THERAPEUTICS INC        COM            00484M106        166,000      8,100        X       28-4635         0         0    8100
ACTIVISION BLIZZARD INC        COM            00507V109        190,000     22,026        X       28-4635         0         0   22026
ACTUATE CORP                   COM            00508B102          3,000      1,022        X       28-4635         0         0    1022
ACTUANT CORP                   CL A NEW       00508X203        264,000     13,890        X       28-4635         0         0   13890
ADOBE SYS INC                  COM            00724F101      5,632,000    264,535        X       28-4635         0         0  264535
ADOLOR CORP                    COM            00724X102         29,000     17,400        X       28-4635         0         0   17400
ADVANCE AUTO PARTS INC         COM            00751Y106        569,000     16,895        X       28-4635         0         0   16895
ADVANCED MEDICAL OPTICS INC    COM            00763M108         11,000      1,599        X       28-4635         0         0    1599
AECOM TECHNOLOGY CORP D ELAWA  COM            00766T100        243,000      7,900        X       28-4635         0         0    7900
AETNA INC NEW                  COM            00817Y108        912,000     31,983        X       28-4635         0         0   31983







PAGE 289 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AGILENT TECHNOLOGIES IN C      COM            00846U101        340,000     21,772        X       28-4635         0         0   21772
AGRIA CORP                     SPONSORED ADR  00850H103         20,000     13,400        X       28-4635         0         0   13400
AKAMAI TECHNOLOGIES INC        COM            00971T101        226,000     14,998        X       28-4635         0         0   14998
ALLEGHENY TECHNOLOGIES INC     COM            01741R102        205,000      8,014        X       28-4635         0         0    8014
ALNYLAM PHARMACEUTICALS INC    COM            02043Q107        420,000     17,000        X       28-4635         0         0   17000
ALPHA NATURAL RESOURCES INC    COM            02076X102         49,000      3,025        X       28-4635         0         0    3025
ALTRA HOLDINGS INC             COM            02208R106         17,000      2,200        X       28-4635         0         0    2200
ALTRIA GROUP INC               COM            02209S103      2,336,000    155,124        X       28-4635         0         0  155124
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105         62,000      2,000        X       28-4635         0         0    2000
AMERICAN CAP LTD               COM            02503Y103         29,000      8,847        X       28-4635         0         0    8847
AMERICAN PUBLIC EDUCATI ON IN  COM            02913V103         60,000      1,600        X       28-4635         0         0    1600
AMERICREDIT CORP               COM            03060R101         15,000      2,000        X       28-4635         0         0    2000
AMERIGON INC                   COM            03070L300          6,000      1,800        X       28-4635         0         0    1800
AMERISAFE INC                  COM            03071H100        553,000     26,925        X       28-4635         0         0   26925
AMERIGROUP CORP                COM            03073T102        124,000      4,200        X       28-4635         0         0    4200
AMERIPRISE FINL INC            COM            03076C106        217,000      9,303        X       28-4635         0         0    9303
AMSURG CORP                    COM            03232P405      1,183,000     50,700        X       28-4635         0         0   50700
ANGIODYNAMICS INC              COM            03475V101        397,000     29,000        X       28-4635         0         0   29000
ANGLO AMERN PLC                ADR NEW        03485P201        142,000     12,196        X       28-4635         0         0   12196
ANSYS INC                      COM            03662Q105      2,064,000     73,996        X       28-4635         0         0   73996
APARTMENT INVT & MGMT C O      CL A           03748R101         49,000      4,204        X       28-4635         0         0    4204
AQUA AMERICA INC               COM            03836W103        336,000     16,300        X       28-4635         0         0   16300
ARCELORMITTAL SA LUXEMB OURG   NY REGISTRY SH 03938L104         91,000      3,700        X       28-4635         0         0    3700
ARMSTRONG WORLD INDS IN C NEW  COM            04247X102         11,000        500        X       28-4635         0         0     500
ASSURANT INC                   COM            04621X108        165,000      5,515        X       28-4635         0         0    5515
AUTONATION INC                 COM            05329W102         46,000      4,657        X       28-4635         0         0    4657
AVISTA CORP                    COM            05379B107         16,000        825        X       28-4635         0         0     825
BJS WHOLESALE CLUB INC         COM            05548J106      1,519,000     44,350        X       28-4635         0         0   44350
BANCFIRST CORP                 COM            05945F103      1,037,000     19,600        X       28-4635         0         0   19600
BANCO BILBAO VIZCAYA AR GENTA  SPONSORED ADR  05946K101        144,000     11,550        X       28-4635         0         0   11550
BANCO SANTANDER SA             ADR            05964H105        149,000     15,700        X       28-4635         0         0   15700







PAGE 290 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BANCOLOMBIA S A                SPON ADR PREF  05968L102        180,000      7,700        X       28-4635         0         0    7700
BENCHMARK ELECTRS INC          COM            08160H101        687,000     53,800        X       28-4635         0         0   53800
BENEFICIAL MUTUAL BANCO RP IN  COM            08173R104      1,032,000     91,700        X       28-4635         0         0   91700
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602      2,281,000     86,970        X       28-4635         0         0   86970
BIOGEN IDEC INC                COM            09062X103        987,000     20,712        X       28-4635         0         0   20712
BIOMED REALTY TRUST INC        COM            09063H107        319,000     27,205        X       28-4635         0         0   27205
BLACKBAUD INC                  COM            09227Q100         28,000      2,100        X       28-4635         0         0    2100
BLACKROCK INC                  COM            09247X101        115,000        857        X       28-4635         0         0     857
BROADRIDGE FINL SOLUTIO NS IN  COM            11133T103         49,000      3,887        X       28-4635         0         0    3887
BURLINGTON NORTHN SANTA FE C   COM            12189T104      1,962,000     25,916        X       28-4635         0         0   25916
BWAY HOLDING COMPANY           COM            12429T104         25,000      3,100        X       28-4635         0         0    3100
CB RICHARD ELLIS GROUP INC     CL A           12497T101         61,000     14,040        X       28-4635         0         0   14040
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209        727,000     13,203        X       28-4635         0         0   13203
CLECO CORP NEW                 COM            12561W105        631,000     27,650        X       28-4635         0         0   27650
CME GROUP INC                  COM            12572Q105      5,275,000     25,346        X       28-4635         0         0   25346
CPI INTERNATIONAL INC          COM            12618M100         10,000      1,200        X       28-4635         0         0    1200
CRA INTL INC                   COM            12618T105         97,000      3,600        X       28-4635         0         0    3600
CA INC                         COM            12673P105        321,000     17,320        X       28-4635         0         0   17320
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109      8,999,000    534,395        X       28-4635         0         0  534395
CABOT MICROELECTRONICS CORP    COM            12709P103         13,000        500        X       28-4635         0         0     500
CAL DIVE INTL INC DEL          COM            12802T101         18,000      2,800        X       28-4635         0         0    2800
CAMECO CORP                    COM            13321L108          6,000        375        X       28-4635         0         0     375
CAMERON INTERNATIONAL C ORP    COM            13342B105        339,000     16,539        X       28-4635         0         0   16539
CAPITAL ONE FINL CORP          COM            14040H105        607,000     19,044        X       28-4635         0         0   19044
CAPITALSOURCE INC              COM            14055X102        815,000    176,400        X       28-4635         0         0  176400
CAPITOL FED FINL               COM            14057C106         25,000        550        X       28-4635         0         0     550
CARDIAC SCIENCE CORP           COM            14141A108        634,000     84,475        X       28-4635         0         0   84475
CARDINAL HEALTH INC            COM            14149Y108        811,000     23,530        X       28-4635         0         0   23530
CARDIONET INC                  COM            14159L103        132,000      5,350        X       28-4635         0         0    5350
CASH AMER INTL INC             COM            14754D100        665,000     24,300        X       28-4635         0         0   24300
CENTENNIAL COMMUNCTNS C ORP N  CL A NEW       15133V208        108,000     13,400        X       28-4635         0         0   13400







PAGE 291 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        489,000     38,773        X       28-4635         0         0   38773
CHEMED CORP NEW                COM            16359R103        398,000     10,000        X       28-4635         0         0   10000
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109        122,000      2,400        X       28-4635         0         0    2400
CIBER INC                      COM            17163B102          8,000      1,650        X       28-4635         0         0    1650
CISCO SYS INC                  COM            17275R102     20,689,000  1,269,260        X       28-4635         0         0 1269260
CLEARWATER PAPER CORP          COM            18538R103         16,000      1,942        X       28-4635         0         0    1942
CLIFFS NATURAL RESOURCE S INC  COM            18683K101        120,000      4,669        X       28-4635         0         0    4669
COMCAST CORP NEW               CL A           20030N101      2,639,000    156,324        X       28-4635         0         0  156324
COMPANHIA SIDERURGICA N ACION  SPONSORED ADR  20440W105         38,000      3,000        X       28-4635         0         0    3000
COMPANHIA PARANAENSE EN ERG C  SPON ADR PFD   20441B407        686,000     65,100        X       28-4635         0         0   65100
COMPANHIA DE BEBIDAS DA S AME  SPON ADR PFD   20441W203      3,441,000     77,660        X       28-4635         0         0   77660
COMPASS MINERALS INTL I N C    COM            20451N101        164,000      2,800        X       28-4635         0         0    2800
CONOCOPHILLIPS                 COM            20825C104      9,583,000    184,999        X       28-4635         0         0  184999
CONSOL ENERGY INC              COM            20854P109        384,000     13,448        X       28-4635         0         0   13448
CONSTELLATION BRANDS IN C      CL A           21036P108        152,000      9,617        X       28-4635         0         0    9617
CORPORATE EXECUTIVE BRD CO     COM            21988R102         25,000      1,118        X       28-4635         0         0    1118
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        338,000     11,013        X       28-4635         0         0   11013
CORRECTIONS CORP AMER N E W    COM NEW        22025Y407         35,000      2,151        X       28-4635         0         0    2151
COSTCO WHSL CORP NEW           COM            22160K105     14,404,000    274,359        X       28-4635         0         0  274359
CROSS TIMBERS RTY TR           TR UNIT        22757R109        705,000     25,300        X       28-4635         0         0   25300
CYBERSOURCE CORP               COM            23251J106        151,000     12,600        X       28-4635         0         0   12600
D R HORTON INC                 COM            23331A109        108,000     15,332        X       28-4635         0         0   15332
DAVITA INC                     COM            23918K108        366,000      7,377        X       28-4635         0         0    7377
DAYSTAR TECHNOLOGIES IN C      COM            23962Q100              0        410        X       28-4635         0         0     410
DEL MONTE FOODS CO             COM            24522P103         13,000      1,800        X       28-4635         0         0    1800
DELL INC                       COM            24702R101      1,499,000    146,428        X       28-4635         0         0  146428
DEVON ENERGY CORP NEW          COM            25179M103     14,583,000    221,924        X       28-4635         0         0  221924
DIAGEO P L C                   SPON ADR NEW   25243Q205        604,000     10,640        X       28-4635         0         0   10640
DIAMOND OFFSHORE DRILLI NG IN  COM            25271C102      3,800,000     64,472        X       28-4635         0         0   64472
DIGITAL RIV INC                COM            25388B104      2,547,000    102,695        X       28-4635         0         0  102695
DIRECTV GROUP INC              COM            25459L106        871,000     38,020        X       28-4635         0         0   38020







PAGE 292 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DISH NETWORK CORP              CL A           25470M109        185,000     16,724        X       28-4635         0         0   16724
DOLBY LABORATORIES INC         COM            25659T107         28,000        850        X       28-4635         0         0     850
DOMINION RES INC VA NEW        COM            25746U109      1,145,000     31,939        X       28-4635         0         0   31939
DREAMWORKS ANIMATION SK G INC  CL A           26153C103         19,000        750        X       28-4635         0         0     750
DUKE ENERGY CORP NEW           COM            26441C105        853,000     56,804        X       28-4635         0         0   56804
DYNEGY INC DEL                 CL A           26817G102         42,000     21,062        X       28-4635         0         0   21062
ENSCO INTL INC                 COM            26874Q100        507,000     17,874        X       28-4635         0         0   17874
ENI S P A                      SPONSORED ADR  26874R108        158,000      3,300        X       28-4635         0         0    3300
EOG RES INC                    COM            26875P101     10,782,000    161,940        X       28-4635         0         0  161940
EV3 INC                        COM            26928A200        112,000     18,400        X       28-4635         0         0   18400
EAGLE MATERIALS INC            COM            26969P108          5,000        294        X       28-4635         0         0     294
EL PASO CORP                   COM            28336L109        243,000     30,979        X       28-4635         0         0   30979
EMBRAER-EMPRESA BRASILE IRA D  SP ADR COM SHS 29081M102         63,000      3,900        X       28-4635         0         0    3900
EMCOR GROUP INC                COM            29084Q100      1,227,000     54,700        X       28-4635         0         0   54700
EMERGENT BIOSOLUTIONS I N C    COM            29089Q105      1,514,000     58,000        X       28-4635         0         0   58000
EMERGENCY MEDICAL SVCS CORP    CL A           29100P102        209,000      5,700        X       28-4635         0         0    5700
ENBRIDGE ENERGY PARTNER S L P  COM            29250R106         13,000        525        X       28-4635         0         0     525
ENCORE ACQUISITION CO          COM            29255W100      1,017,000     39,835        X       28-4635         0         0   39835
ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106          4,000        300        X       28-4635         0         0     300
ENDO PHARMACEUTICALS HL DGS I  COM            29264F205        120,000      4,636        X       28-4635         0         0    4636
ENERGEN CORP                   COM            29265N108         39,000      1,315        X       28-4635         0         0    1315
ENERGIZER HLDGS INC            COM            29266R108         72,000      1,326        X       28-4635         0         0    1326
ENPRO INDS INC                 COM            29355X107        116,000      5,400        X       28-4635         0         0    5400
ENSIGN GROUP INC               COM            29358P101        388,000     23,200        X       28-4635         0         0   23200
ENTERGY CORP NEW               COM            29364G103        932,000     11,215        X       28-4635         0         0   11215
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        563,000     18,900        X       28-4635         0         0   18900
EQUINIX INC                    COM NEW        29444U502         54,000      1,021        X       28-4635         0         0    1021
EQUITY RESIDENTIAL             SH BEN INT     29476L107        350,000     11,744        X       28-4635         0         0   11744
ESSA BANCORP INC               COM            29667D104        389,000     27,500        X       28-4635         0         0   27500
EVERGREEN SOLAR INC            COM            30033R108          1,000        410        X       28-4635         0         0     410
EXELON CORP                    COM            30161N101      5,646,000    101,526        X       28-4635         0         0  101526







PAGE 293 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EXPEDIA INC DEL                COM            30212P105         43,000      5,263        X       28-4635         0         0    5263
EXPONENT INC                   COM            30214U102        851,000     28,300        X       28-4635         0         0   28300
EXTRA SPACE STORAGE INC        COM            30225T102        526,000     50,950        X       28-4635         0         0   50950
EXTERRAN HLDGS INC             COM            30225X103        129,000      6,062        X       28-4635         0         0    6062
EXXON MOBIL CORP               COM            30231G102     37,810,000    473,630        X       28-4635         0         0  473630
FMC TECHNOLOGIES INC           COM            30249U101        188,000      7,887        X       28-4635         0         0    7887
FEDEX CORP                     COM            31428X106        949,000     14,805        X       28-4635         0         0   14805
FIDELITY NATL INFORMATI ON SV  COM            31620M106        172,000     10,586        X       28-4635         0         0   10586
FIRST ADVANTAGE CORP           CL A           31845F100         92,000      6,500        X       28-4635         0         0    6500
FIRST CTZNS BANCSHARES INC N   CL A           31946M103         15,000        100        X       28-4635         0         0     100
FIRST NIAGARA FINL GP I N C    COM            33582V108        453,000     28,000        X       28-4635         0         0   28000
FIRSTSERVICE CORP              SUB VTG SH     33761N109      2,416,000    183,740        X       28-4635         0         0  183740
FLOWSERVE CORP                 COM            34354P105        239,000      4,645        X       28-4635         0         0    4645
FOUNDATION COAL HLDGS I N C    COM            35039W100        132,000      9,380        X       28-4635         0         0    9380
FREEPORT-MCMORAN COPPER & GO   COM            35671D857        583,000     23,881        X       28-4635         0         0   23881
FRESENIUS KABI PHARMACE UTHLD  RIGHT
                               06/30/2011     35802M115              0        600        X       28-4635         0         0     600
FRONTIER COMMUNICATIONS CORP   COM            35906A108        170,000     19,356        X       28-4635         0         0   19356
FRONTIER OIL CORP              COM            35914P105         41,000      3,265        X       28-4635         0         0    3265
GEO GROUP INC                  COM            36159R103        215,000     11,900        X       28-4635         0         0   11900
GAMESTOP CORP NEW              CL A           36467W109        291,000     13,453        X       28-4635         0         0   13453
GEN-PROBE INC NEW              COM            36866T103        120,000      2,790        X       28-4635         0         0    2790
GENTIVA HEALTH SERVICES INC    COM            37247A102        117,000      4,000        X       28-4635         0         0    4000
GENWORTH FINL INC              COM CL A       37247D106         56,000     19,677        X       28-4635         0         0   19677
GLACIER BANCORP INC NEW        COM            37637Q105      2,912,000    153,080        X       28-4635         0         0  153080
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105         70,000      1,875        X       28-4635         0         0    1875
GLOBAL PMTS INC                COM            37940X102         70,000      2,122        X       28-4635         0         0    2122
GOLDMAN SACHS GROUP INC        COM            38141G104     11,330,000    134,254        X       28-4635         0         0  134254
GOOGLE INC                     CL A           38259P508     19,473,000     63,296        X       28-4635         0         0   63296
GRACE W R & CO DEL NEW         COM            38388F108         40,000      6,700        X       28-4635         0         0    6700
GREATBATCH INC                 COM            39153L106         32,000      1,200        X       28-4635         0         0    1200
GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206         24,000      1,600        X       28-4635         0         0    1600







PAGE 294 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HCP INC                        COM            40414L109        302,000     10,886        X       28-4635         0         0   10886
HLTH CORPORATION               COM            40422Y101          4,000        348        X       28-4635         0         0     348
HEALTH CARE REIT INC           COM            42217K106        540,000     12,800        X       28-4635         0         0   12800
HEALTHSPRING INC               COM            42224N101        247,000     12,350        X       28-4635         0         0   12350
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107         22,000      3,028        X       28-4635         0         0    3028
HESS CORP                      COM            42809H107      1,087,000     20,265        X       28-4635         0         0   20265
HEWITT ASSOCS INC              COM            42822Q100         21,000        750        X       28-4635         0         0     750
HOST HOTELS & RESORTS I N C    COM            44107P104        170,000     22,402        X       28-4635         0         0   22402
HOUSTON WIRE & CABLE CO        COM            44244K109      1,314,000    141,120        X       28-4635         0         0  141120
IAC INTERACTIVECORP            COM PAR $.001  44919P508         14,000        897        X       28-4635         0         0     897
ICF INTL INC                   COM            44925C103      2,721,000    110,730        X       28-4635         0         0  110730
IPC THE HOSPITALIST CO INC     COM            44984A105          5,000        300        X       28-4635         0         0     300
ITT EDUCATIONAL SERVICE S INC  COM            45068B109        235,000      2,474        X       28-4635         0         0    2474
ICON PUB LTD CO                SPONSORED ADR  45103T107        932,000     47,325        X       28-4635         0         0   47325
ICICI BK LTD                   ADR            45104G104         23,000      1,200        X       28-4635         0         0    1200
IDEX CORP                      COM            45167R104      2,511,000    103,995        X       28-4635         0         0  103995
IDEXX LABS INC                 COM            45168D104         36,000      1,009        X       28-4635         0         0    1009
INFORMATICA CORP               COM            45666Q102      1,505,000    109,650        X       28-4635         0         0  109650
INSTEEL INDUSTRIES INC         COM            45774W108         90,000      8,000        X       28-4635         0         0    8000
INTEGRAL SYS INC MD            COM            45810H107        763,000     63,325        X       28-4635         0         0   63325
INTEGRYS ENERGY GROUP I N C    COM            45822P105        147,000      3,422        X       28-4635         0         0    3422
INTERACTIVE BROKERS GRO UP IN  COM            45841N107        864,000     48,300        X       28-4635         0         0   48300
INTERCONTINENTALEXCHANG E INC  COM            45865V100        463,000      5,613        X       28-4635         0         0    5613
INTERVAL LEISURE GROUP INC     COM            46113M108          2,000        333        X       28-4635         0         0     333
INTERWOVEN INC                 COM NEW        46114T508      1,090,000     86,500        X       28-4635         0         0   86500
INTUITIVE SURGICAL INC         COM NEW        46120E602        353,000      2,780        X       28-4635         0         0    2780
INVESTMENT TECHNOLOGY G RP NE  COM            46145F105        269,000     11,855        X       28-4635         0         0   11855
ISHARES S&P GSCI COMMOD ITY I  UNIT BEN INT   46428R107      5,413,000    189,217        X       28-4635         0         0  189217
J CREW GROUP INC               COM            46612H402         11,000        900        X       28-4635         0         0     900
JDS UNIPHASE CORP              COM PAR $0.001 46612J507         53,000     14,602        X       28-4635         0         0   14602
JPMORGAN & CHASE & CO          COM            46625H100     25,275,000    801,609        X       28-4635         0         0  801609







PAGE 295 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JANUS CAP GROUP INC            COM            47102X105         90,000     11,176        X       28-4635         0         0   11176
JUNIPER NETWORKS INC           COM            48203R104        935,000     53,387        X       28-4635         0         0   53387
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105         37,000      1,400        X       28-4635         0         0    1400
KBR INC                        COM            48242W106        217,000     14,284        X       28-4635         0         0   14284
KADANT INC                     COM            48282T104         93,000      6,900        X       28-4635         0         0    6900
KB HOME                        COM            48666K109        118,000      8,689        X       28-4635         0         0    8689
KILROY RLTY CORP               COM            49427F108         29,000        867        X       28-4635         0         0     867
KIMCO REALTY CORP              COM            49446R109        179,000      9,811        X       28-4635         0         0    9811
KRAFT FOODS INC                CL A           50075N104     14,067,000    523,893        X       28-4635         0         0  523893
LABORATORY CORP AMER HL DGS    COM NEW        50540R409        702,000     10,901        X       28-4635         0         0   10901
LANDAUER INC                   COM            51476K103      1,019,000     13,900        X       28-4635         0         0   13900
LEVEL 3 COMMUNICATIONS INC     COM            52729N100         34,000     48,281        X       28-4635         0         0   48281
LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500        146,000      8,335        X       28-4635         0         0    8335
LIFE PARTNERS HOLDINGS INC     COM            53215T106      1,143,000     26,200        X       28-4635         0         0   26200
LIFE TECHNOLOGIES CORP         COM            53217V109        257,000     11,008        X       28-4635         0         0   11008
LIFEPOINT HOSPITALS INC        COM            53219L109      1,008,000     44,150        X       28-4635         0         0   44150
LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202        130,000      7,200        X       28-4635         0         0    7200
M & T BK CORP                  COM            55261F104        191,000      3,334        X       28-4635         0         0    3334
MBIA INC                       COM            55262C100         32,000      7,851        X       28-4635         0         0    7851
MB FINANCIAL INC NEW           COM            55264U108        157,000      5,600        X       28-4635         0         0    5600
MGE ENERGY INC                 COM            55277P104         66,000      2,000        X       28-4635         0         0    2000
MKS INSTRUMENT INC             COM            55306N104        456,000     30,800        X       28-4635         0         0   30800
MACYS INC                      COM            55616P104        196,000     18,935        X       28-4635         0         0   18935
MANPOWER INC                   COM            56418H100         84,000      2,479        X       28-4635         0         0    2479
MARVEL ENTERTAINMENT IN C      COM            57383T103        320,000     10,400        X       28-4635         0         0   10400
MASTERCARD INC                 CL A           57636Q104        822,000      5,750        X       28-4635         0         0    5750
MCKESSON CORP                  COM            58155Q103        941,000     24,309        X       28-4635         0         0   24309
MEADOWBROOK INS GROUP I N C    COM            58319P108        171,000     26,500        X       28-4635         0         0   26500
MEDCO HEALTH SOLUTIONS INC     COM            58405U102      1,666,000     39,761        X       28-4635         0         0   39761
METHANEX CORP                  COM            59151K108      1,332,000    118,540        X       28-4635         0         0  118540
METLIFE INC                    COM            59156R108      1,580,000     45,315        X       28-4635         0         0   45315







PAGE 296 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MID-AMER APT CMNTYS INC        COM            59522J103          5,000        125        X       28-4635         0         0     125
MIRANT CORP NEW                COM            60467R100         50,000      2,665        X       28-4635         0         0    2665
MOLINA HEALTHCARE INC          COM            60855R100        100,000      5,700        X       28-4635         0         0    5700
MOLSON COORS BREWING CO        CL B           60871R209        352,000      7,191        X       28-4635         0         0    7191
MONEYGRAM INTL INC             COM            60935Y109          1,000        792        X       28-4635         0         0     792
MONSANTO CO NEW                COM            61166W101      7,480,000    106,330        X       28-4635         0         0  106330
MOSAIC CO                      COM            61945A107        144,000      4,160        X       28-4635         0         0    4160
MULTI FINELINE ELECTRON IX IN  COM            62541B101        784,000     67,100        X       28-4635         0         0   67100
NII HLDGS INC                  CL B NEW       62913F201      8,431,000    463,724        X       28-4635         0         0  463724
NVR INC                        COM            62944T105         60,000        132        X       28-4635         0         0     132
NALCO HOLDING COMPANY          COM            62985Q101         33,000      2,866        X       28-4635         0         0    2866
NARA BANCORP INC               COM            63080P105         17,000      1,700        X       28-4635         0         0    1700
NATCO GROUP INC                CL A           63227W203         17,000      1,150        X       28-4635         0         0    1150
NATURAL GAS SERVICES GR OUP    COM            63886Q109        599,000     59,100        X       28-4635         0         0   59100
NAVIGANT CONSULTING INC        COM            63935N107         12,000        750        X       28-4635         0         0     750
NELNET INC                     CL A           64031N108        128,000      8,900        X       28-4635         0         0    8900
NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206         97,000      7,074        X       28-4635         0         0    7074
NETAPP INC                     COM            64110D104        289,000     20,702        X       28-4635         0         0   20702
NETFLIX INC                    COM            64110L106      2,921,000     97,720        X       28-4635         0         0   97720
NETEASE COM INC                SPONSORED ADR  64110W102        685,000     31,000        X       28-4635         0         0   31000
NEUSTAR INC                    CL A           64126X201         44,000      2,279        X       28-4635         0         0    2279
NISOURCE INC                   COM            65473P105        111,000     10,120        X       28-4635         0         0   10120
NOMURA HLDGS INC               SPONSORED ADR  65535H208        127,000     15,200        X       28-4635         0         0   15200
NOVARTIS A G                   SPONSORED ADR  66987V109      1,937,000     38,920        X       28-4635         0         0   38920
NTELOS HLDGS CORP              COM            67020Q107          9,000        350        X       28-4635         0         0     350
NUANCE COMMUNICATIONS I N C    COM            67020Y100        260,000     25,100        X       28-4635         0         0   25100
NVIDIA CORP                    COM            67066G104        349,000     43,270        X       28-4635         0         0   43270
NUVEEN FLOATING RATE IN COME   COM            67072T108          2,000        375        X       28-4635         0         0     375
NV ENERGY INC                  COM            67073Y106         41,000      4,105        X       28-4635         0         0    4105
ODYSSEY RE HLDGS CORP          COM            67612W108        404,000      7,800        X       28-4635         0         0    7800
ORACLE CORP                    COM            68389X105     18,828,000  1,061,939        X       28-4635         0         0 1061939







PAGE 297 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ORIENTAL FINL GROUP INC        COM            68618W100         27,000      4,400        X       28-4635         0         0    4400
PG&E CORP                      COM            69331C108        727,000     18,768        X       28-4635         0         0   18768
P F CHANGS CHINA BISTRO INC    COM            69333Y108          8,000        400        X       28-4635         0         0     400
PMC-SIERRA INC                 COM            69344F106        169,000     34,700        X       28-4635         0         0   34700
PNM RES INC                    COM            69349H107         19,000      1,900        X       28-4635         0         0    1900
PPL CORP                       COM            69351T106        748,000     24,363        X       28-4635         0         0   24363
PSS WORLD MED INC              COM            69366A100        369,000     19,600        X       28-4635         0         0   19600
PACER INTL INC TENN            COM            69373H106      1,252,000    120,000        X       28-4635         0         0  120000
PANASONIC CORP                 ADR            69832A205        165,000     13,300        X       28-4635         0         0   13300
PANERA BREAD CO                CL A           69840W108      1,188,000     22,750        X       28-4635         0         0   22750
PARTNER COMMUNICATIONS CO LT   ADR            70211M109        506,000     30,650        X       28-4635         0         0   30650
PATRIOT COAL CORP              COM            70336T104          9,000      1,425        X       28-4635         0         0    1425
PEPSIAMERICAS INC              COM            71343P200         18,000        900        X       28-4635         0         0     900
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      5,692,000    232,412        X       28-4635         0         0  232412
PHARMERICA CORP                COM            71714F104          5,000        300        X       28-4635         0         0     300
PHASE FORWARD INC              COM            71721R406        105,000      8,400        X       28-4635         0         0    8400
PINNACLE FINL PARTNERS INC     COM            72346Q104      2,122,000     71,200        X       28-4635         0         0   71200
POLYCOM INC                    COM            73172K104        107,000      7,900        X       28-4635         0         0    7900
PORTFOLIO RECOVERY ASSO CS IN  COM            73640Q105      2,684,000     79,310        X       28-4635         0         0   79310
POWERSHARES DB CMDTY ID X TRA  UNIT BEN INT   73935S105      5,062,000    238,864        X       28-4635         0         0  238864
PRAXAIR INC                    COM            74005P104      7,628,000    128,510        X       28-4635         0         0  128510
PRESTIGE BRANDS HLDGS I N C    COM            74112D101        690,000     65,400        X       28-4635         0         0   65400
PRICE T ROWE GROUP INC         COM            74144T108        650,000     18,344        X       28-4635         0         0   18344
PRIDE INTL INC DEL             COM            74153Q102         57,000      3,550        X       28-4635         0         0    3550
PRINCIPAL FINANCIAL GRO UP IN  COM            74251V102        311,000     13,791        X       28-4635         0         0   13791
PUBLIC STORAGE                 COM            74460D109        462,000      5,812        X       28-4635         0         0    5812
QUEST DIAGNOSTICS INC          COM            74834L100        777,000     14,958        X       28-4635         0         0   14958
QUEST SOFTWARE INC             COM            74834T103        190,000     15,100        X       28-4635         0         0   15100
QUICKSILVER RESOURCES I N C    COM            74837R104         78,000     13,969        X       28-4635         0         0   13969
RTI BIOLOGICS INC              COM            74975N105          3,000      1,000        X       28-4635         0         0    1000
RANGE RES CORP                 COM            75281A109        370,000     10,749        X       28-4635         0         0   10749







PAGE 298 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RBC BEARINGS INC               COM            75524B104        150,000      7,383        X       28-4635         0         0    7383
REGIONS FINANCIAL CORP NEW     COM            7591EP100        237,000     29,826        X       28-4635         0         0   29826
RENT A CTR INC NEW             COM            76009N100      1,092,000     61,850        X       28-4635         0         0   61850
SBA COMMUNICATIONS CORP        COM            78388J106        122,000      7,474        X       28-4635         0         0    7474
SAIC INC                       COM            78390X101        216,000     11,100        X       28-4635         0         0   11100
SK TELECOM LTD                 SPONSORED ADR  78440P108      1,765,000     97,100        X       28-4635         0         0   97100
SLM CORP                       COM            78442P106        294,000     33,079        X       28-4635         0         0   33079
SPDR TR                        UNIT SER 1     78462F103     10,365,000    114,857        X       28-4635         0         0  114857
SVB FINL GROUP                 COM            78486Q101        555,000     21,150        X       28-4635         0         0   21150
SXC HEALTH SOLUTIONS CO RP     COM            78505P100         26,000      1,400        X       28-4635         0         0    1400
SALESFORCE COM INC             COM            79466L302        248,000      7,748        X       28-4635         0         0    7748
SANDISK CORP                   COM            80004C101        216,000     22,456        X       28-4635         0         0   22456
SANOFI AVENTIS                 SPONSORED ADR  80105N105          8,000        234        X       28-4635         0         0     234
SCIENTIFIC GAMES CORP          CL A           80874P109         46,000      2,648        X       28-4635         0         0    2648
SEALED AIR CORP NEW            COM            81211K100         92,000      6,133        X       28-4635         0         0    6133
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100        164,000      7,210        X       28-4635         0         0    7210
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704         84,000      3,600        X       28-4635         0         0    3600
SENIOR HSG PPTYS TR            SH BEN INT     81721M109        380,000     21,200        X       28-4635         0         0   21200
SENSIENT TECHNOLOGIES C ORP    COM            81725T100        651,000     27,250        X       28-4635         0         0   27250
SHANDA INTERACTIVE ENTM T LTD  SPONSORED ADR  81941Q203         13,000        400        X       28-4635         0         0     400
SIERRA BANCORP                 COM            82620P102        265,000     12,630        X       28-4635         0         0   12630
SIGNATURE BK NEW YORK N Y      COM            82669G104        318,000     11,100        X       28-4635         0         0   11100
SIRIUS XM RADIO INC            COM            82967N108          8,000     69,906        X       28-4635         0         0   69906
SKYWORKS SOLUTIONS INC         COM            83088M102        289,000     52,200        X       28-4635         0         0   52200
SOLERA HOLDINGS INC            COM            83421A104      1,210,000     50,200        X       28-4635         0         0   50200
SOUTHERN COPPER CORP           COM            84265V105        136,000      8,454        X       28-4635         0         0    8454
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        242,000     13,537        X       28-4635         0         0   13537
STATOILHYDRO ASA               SPONSORED ADR  85771P102        134,000      8,049        X       28-4635         0         0    8049
SUN BANCORP INC                COM            86663B102         95,000     12,652        X       28-4635         0         0   12652
SUNOCO INC                     COM            86764P109      2,285,000     52,581        X       28-4635         0         0   52581
SUNTECH PWR HLDGS CO LT D      ADR            86800C104          7,000        600        X       28-4635         0         0     600







PAGE 299 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SYNAPTICS INC                  COM            87157D109          6,000        375        X       28-4635         0         0     375
SYNGENTA AG                    SPONSORED ADR  87160A100      1,743,000     44,521        X       28-4635         0         0   44521
SYNIVERSE HLDGS INC            COM            87163F106        954,000     79,900        X       28-4635         0         0   79900
TD AMERITRADE HLDG CORP        COM            87236Y108        147,000     10,299        X       28-4635         0         0   10299
TFS FINL CORP                  COM            87240R107        188,000     14,600        X       28-4635         0         0   14600
TTM TECHNOLOGIES  INC          COM            87305R109        175,000     33,600        X       28-4635         0         0   33600
TENARIS S A                    SPONSORED ADR  88031M109         34,000      1,600        X       28-4635         0         0    1600
TENET HEALTHCARE CORP          COM            88033G100         21,000     18,070        X       28-4635         0         0   18070
TERADATA CORP DEL              COM            88076W103        114,000      7,662        X       28-4635         0         0    7662
TETRA TECHNOLOGIES INC DEL     COM            88162F105         19,000      4,000        X       28-4635         0         0    4000
TEXAS CAPITAL BANCSHARE S INC  COM            88224Q107        176,000     13,200        X       28-4635         0         0   13200
THESTREET COM                  COM            88368Q103          8,000      2,700        X       28-4635         0         0    2700
THINKORSWIM GROUP INC          COM            88409C105         11,000      1,900        X       28-4635         0         0    1900
3M CO                          COM            88579Y101     14,440,000    250,971        X       28-4635         0         0  250971
TICKETMASTER ENTMT INC         COM            88633P302        632,000     98,433        X       28-4635         0         0   98433
TIM HORTONS INC                COM            88706M103        157,000      5,432        X       28-4635         0         0    5432
TIME WARNER CABLE INC          CL A           88732J108         64,000      3,000        X       28-4635         0         0    3000
TREEHOUSE FOODS INC            COM            89469A104        166,000      6,100        X       28-4635         0         0    6100
U S PHYSICAL THERAPY IN C      COM            90337L108        710,000     53,300        X       28-4635         0         0   53300
UNITED THERAPEUTICS COR P DEL  COM            91307C102        156,000      2,500        X       28-4635         0         0    2500
UNITEDHEALTH GROUP INC         COM            91324P102      2,142,000     80,520        X       28-4635         0         0   80520
UNIVERSAL DISPLAY CORP         COM            91347P105         12,000      1,300        X       28-4635         0         0    1300
UNUM GROUP                     COM            91529Y106        365,000     19,650        X       28-4635         0         0   19650
VAALCO ENERGY INC              COM NEW        91851C201        305,000     41,000        X       28-4635         0         0   41000
VALERO ENERGY CORP NEW         COM            91913Y100        653,000     30,188        X       28-4635         0         0   30188
VARIAN MED SYS INC             COM            92220P105        489,000     13,968        X       28-4635         0         0   13968
VECTOR GROUP LTD               COM            92240M108        192,000     14,070        X       28-4635         0         0   14070
VENTAS INC                     COM            92276F100        113,000      3,373        X       28-4635         0         0    3373
VERIZON COMMUNICATIONS INC     COM            92343V104     10,347,000    305,215        X       28-4635         0         0  305215
VERTEX PHARMACEUTICALS INC     COM            92532F100        295,000      9,726        X       28-4635         0         0    9726
VIAD CORP                      COM NEW        92552R406          5,000        198        X       28-4635         0         0     198







PAGE 300 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VIACOM INC NEW                 CL B           92553P201        879,000     46,108        X       28-4635         0         0   46108
VISA INC                       COM CL A       92826C839        675,000     12,860        X       28-4635         0         0   12860
VITAL IMAGES INC               COM            92846N104         28,000      2,000        X       28-4635         0         0    2000
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209        882,000     43,133        X       28-4635         0         0   43133
W & T OFFSHORE INC             COM            92922P106          9,000        600        X       28-4635         0         0     600
WGL HLDGS INC                  COM            92924F106        435,000     13,300        X       28-4635         0         0   13300
WABCO HLDGS INC                COM            92927K102         25,000      1,602        X       28-4635         0         0    1602
WALTER INDS INC                COM            93317Q105         52,000      2,972        X       28-4635         0         0    2972
WASTE MGMT INC DEL             COM            94106L109        906,000     27,333        X       28-4635         0         0   27333
WELLCARE HEALTH PLANS I N C    COM            94946T106              0         30        X       28-4635         0         0      30
WELLPOINT INC                  COM            94973V107      1,151,000     27,326        X       28-4635         0         0   27326
WESCO INTL INC                 COM            95082P105         45,000      2,356        X       28-4635         0         0    2356
WESTAR ENERGY INC              COM            95709T100        416,000     20,300        X       28-4635         0         0   20300
WINDSTREAM CORP                COM            97381W104        241,000     26,231        X       28-4635         0         0   26231
WYNDHAM WORLDWIDE CORP         COM            98310W108         51,000      7,739        X       28-4635         0         0    7739
XTO ENERGY INC                 COM            98385X106      1,016,000     28,796        X       28-4635         0         0   28796
XCEL ENERGY INC                COM            98389B100        366,000     19,728        X       28-4635         0         0   19728
YAMANA GOLD INC                COM            98462Y100          3,000        450        X       28-4635         0         0     450
ZEP INC                        COM            98944B108      1,504,000     77,900        X       28-4635         0         0   77900
ZIMMER HLDGS INC               COM            98956P102        664,000     16,419        X       28-4635         0         0   16419
DAIMLER AG                     REG SHS        D1668R123         84,000      2,200        X       28-4635         0         0    2200
ALLIED WRLD ASSUR COM H LDG L  SHS            G0219G203         57,000      1,400        X       28-4635         0         0    1400
AMDOCS LTD                     ORD            G02602103      9,296,000    508,257        X       28-4635         0         0  508257
ARCH CAP GROUP LTD             ORD            G0450A105        322,000      4,600        X       28-4635         0         0    4600
ASPEN INSURANCE HOLDING S LTD  SHS            G05384105        632,000     26,050        X       28-4635         0         0   26050
AXIS CAPITAL HOLDINGS          SHS            G0692U109         25,000        850        X       28-4635         0         0     850
ACCENTURE LTD BERMUDA          CL A           G1150G111        521,000     15,885        X       28-4635         0         0   15885
BUNGE LIMITED                  COM            G16962105     14,969,000    289,150        X       28-4635         0         0  289150
CENTRAL EUROPEAN MEDIA ENTRP   CL A NEW       G20045202         20,000        913        X       28-4635         0         0     913
COOPER INDS LTD                CL A           G24182100        283,000      9,689        X       28-4635         0         0    9689
CREDICORP LTD                  COM            G2519Y108        130,000      2,600        X       28-4635         0         0    2600







PAGE 301 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        791,000     21,839        X       28-4635         0         0   21839
ENDURANCE SPECIALTY HLD GS LT  SHS            G30397106        818,000     26,800        X       28-4635         0         0   26800
EVEREST RE GROUP LTD           COM            G3223R108         76,000        995        X       28-4635         0         0     995
FOSTER WHEELER LTD             SHS NEW        G36535139        233,000      9,975        X       28-4635         0         0    9975
FRESH DEL MONTE PRODUCE INC    ORD            G36738105        470,000     20,950        X       28-4635         0         0   20950
GARMIN LTD                     ORD            G37260109         72,000      3,744        X       28-4635         0         0    3744
GENPACT LIMITED                SHS            G3922B107          8,000      1,000        X       28-4635         0         0    1000
HELEN OF TROY CORP LTD         COM            G4388N106         16,000        900        X       28-4635         0         0     900
HERBALIFE LTD                  COM USD SHS    G4412G101        275,000     12,700        X       28-4635         0         0   12700
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101        368,000     21,254        X       28-4635         0         0   21254
INVESCO LTD                    SHS            G491BT108     17,093,000  1,183,748        X       28-4635         0         0 1183748
IPC HLDGS LTD                  ORD            G4933P101        897,000     30,000        X       28-4635         0         0   30000
LAZARD LTD                     SHS A          G54050102      2,491,000     83,754        X       28-4635         0         0   83754
MARVELL TECHNOLOGY GROU P LTD  ORD            G5876H105         80,000     11,935        X       28-4635         0         0   11935
MONTPELIER RE HOLDINGS LTD     SHS            G62185106      2,447,000    145,770        X       28-4635         0         0  145770
NABORS INDUSTRIES LTD          SHS            G6359F103        248,000     20,751        X       28-4635         0         0   20751
NOBLE CORPORATION              SHS            G65422100        388,000     17,582        X       28-4635         0         0   17582
PLATINUM UNDERWRITER HL DGS L  COM            G7127P100        759,000     21,050        X       28-4635         0         0   21050
RENAISSANCERE HOLDINGS LTD     COM            G7496G103         10,000        200        X       28-4635         0         0     200
SEAGATE TECHNOLOGY             SHS            G7945J104          6,000      1,395        X       28-4635         0         0    1395
TYCO INTL LTD BERMUDA          SHS            G9143X208        610,000     28,223        X       28-4635         0         0   28223
TYCO ELECTRONICS LTD           COM NEW        G9144P105        283,000     17,490        X       28-4635         0         0   17490
WARNER CHILCOTT LIMITED        COM CL A       G9435N108         41,000      2,848        X       28-4635         0         0    2848
WEATHERFORD INTERNATION AL LT  COM            G95089101      3,714,000    343,286        X       28-4635         0         0  343286
XL CAP LTD                     CL A           G98255105         50,000     13,536        X       28-4635         0         0   13536
ACE LTD                        SHS            H0023R105        249,000      4,721        X       28-4635         0         0    4721
UBS AG                         SHS NEW        H89231338        126,000      8,832        X       28-4635         0         0    8832
ORBOTECH LTD                   ORD            M75253100         26,000      6,400        X       28-4635         0         0    6400
RADVISION LTD                  ORD            M81869105         24,000      4,400        X       28-4635         0         0    4400
ASML HOLDING N V               NY REG SHS     N07059186      4,649,000    257,275        X       28-4635         0         0  257275
CORE LABORATORIES N V          COM            N22717107        377,000      6,300        X       28-4635         0         0    6300







PAGE 302 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QIAGEN N V                     ORD            N72482107        638,000     36,310        X       28-4635         0         0   36310
BANCO LATINOAMERICANO D E EXP  CL E           P16994132        361,000     25,150        X       28-4635         0         0   25150
AEGEAN MARINE PETROLEUM NETW   SHS            Y0017S102        107,000      6,300        X       28-4635         0         0    6300
SAFE BULKERS INC               COM            Y7388L103         65,000      9,800        X       28-4635         0         0    9800







PAGE 303 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AAON INC                       COM PAR $0.004 000360206         62,000      2,953       X        28-12020     2953         0       0
AAR CORP                       COM            000361105      3,189,000    173,221       X        28-12020   173221         0       0
ABB LTD                        SPONSORED ADR  000375204      7,447,000    496,081       X        28-12020   495381         0     700
A D C TELECOMMUNICATION S      COM NEW        000886309          5,000        849       X        28-12020      849         0       0
ABM INDS INC                   COM            000957100          3,000        178       X        28-12020      178         0       0
AEP INDS INC                   COM            001031103          8,000        473       X        28-12020      473         0       0
AFLAC INC                      COM            001055102      2,844,000     62,042       X        28-12020    61647         0     395
AGCO CORP                      COM            001084102         40,000      1,691       X        28-12020     1691         0       0
AGL RES INC                    COM            001204106         95,000      3,051       X        28-12020     2054         0     997
A H BELO CORP                  COM CL A       001282102              0        164       X        28-12020      164         0       0
AK STL HLDG CORP               COM            001547108        979,000    105,108       X        28-12020   105108         0       0
AMN HEALTHCARE SERVICES INC    COM            001744101          8,000        913       X        28-12020      913         0       0
AMR CORP                       COM            001765106         39,000      3,660       X        28-12020     3660         0       0
AU OPTRONICS CORP              SPONSORED ADR  002255107          8,000      1,028       X        28-12020     1028         0       0
AVX CORP NEW                   COM            002444107        340,000     42,830       X        28-12020    35530         0       0
AZZ INC                        COM            002474104         11,000        433       X        28-12020      433         0       0
AARON RENTS INC                COM            002535201      1,871,000     70,277       X        28-12020    70277         0       0
ABAXIS INC                     COM            002567105          2,000        105       X        28-12020      105         0       0
ABBOTT LABS                    COM            002824100    228,501,000  4,281,463       X        28-12020  4119877         0  161053
ABBOTT LABS                    COM            002824100        734,000     18,000       X        28-12020    18000         0       0
ABERCROMBIE & FITCH CO         CL A           002896207        112,000      4,873       X        28-12020     4873         0       0
ABERDEEN ASIA PACIFIC I NCOM   COM            003009107         17,000      4,000       X        28-12020        0         0    4000
ABIOMED INC                    COM            003654100         79,000      4,802       X        28-12020     4002         0     800
ABITIBIBOWATER INC             COM            003687100              0        596       X        28-12020      596         0       0
ACADIA RLTY TR                 COM SH BEN INT 004239109          3,000        195       X        28-12020      195         0       0
ACCESS INTEGRATED TECHN LGS I  CL A           004329108        120,000    323,025       X        28-12020   323025         0       0
ACCURAY INC                    COM            004397105          8,000      1,459       X        28-12020     1459         0       0
ACCURIDE CORP COM DELET        ED             004398103              0      1,097       X        28-12020     1097         0       0
ACETO CORP                     COM            004446100      1,438,000    143,700       X        28-12020   143700         0       0
ACI WORLDWIDE INC              COM            004498101        279,000     17,540       X        28-12020    17540         0       0
ACXIOM CORP                    COM            005125109          5,000        556       X        28-12020      556         0       0







PAGE 304 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ADAMS EXPRESS CO               COM            006212104         84,000     10,439       X        28-12020    10439         0       0
ADMINISTAFF INC                COM            007094105         11,000        500       X        28-12020      500         0       0
AEROPOSTALE                    COM            007865108        343,000     21,278       X        28-12020    21278         0       0
ADVANCED MICRO DEVICES INC     COM            007903107         75,000     34,767       X        28-12020    34267         0     500
AEGON N V                      NY REGISTRY SH 007924103      1,174,000    194,186       X        28-12020   194186         0       0
ADVANCED ENERGY INDS           COM            007973100          1,000         85       X        28-12020       85         0       0
ADVENT SOFTWARE INC            COM            007974108          3,000        161       X        28-12020      161         0       0
AEROVIRONMENT INC              COM            008073108      1,765,000     47,950       X        28-12020    47950         0       0
AFFILIATED COMPUTER SER VICES  CL A           008190100        281,000      6,112       X        28-12020     5970         0     142
AFFILIATED MANAGERS GRO UP     COM            008252108      3,419,000     81,569       X        28-12020    81569         0       0
AGREE REALTY CORP              COM            008492100          8,000        448       X        28-12020      448         0       0
AGRIUM INC                     COM            008916108          7,000        200       X        28-12020      200         0       0
AIR METHODS CORP               COM PAR $.06   009128307          3,000        201       X        28-12020      201         0       0
AIR PRODS & CHEMS INC          COM            009158106      2,360,000     46,963       X        28-12020    42667         0    4296
AIRGAS INC                     COM            009363102         58,000      1,501       X        28-12020     1501         0       0
ALASKA AIR GROUP INC           COM            011659109         21,000        727       X        28-12020      727         0       0
ALBEMARLE CORP                 COM            012653101         29,000      1,285       X        28-12020     1285         0       0
ALBERTO CULVER CO NEW          COM            013078100        226,000      9,228       X        28-12020     9228         0       0
ALCOA INC                      COM            013817101      2,605,000    231,322       X        28-12020   227621         0    3701
ALCATEL-LUCENT                 SPONSORED ADR  013904305          9,000      3,871       X        28-12020     2768         0    1103
ALEXANDER & BALDWIN INC        COM            014482103        205,000      8,215       X        28-12020     8215         0       0
ALEXANDERS INC                 COM            014752109          1,000          5       X        28-12020        5         0       0
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109         39,000        644       X        28-12020      644         0       0
ALEXION PHARMACEUTICALS INC    COM            015351109        601,000     16,608       X        28-12020    16608         0       0
ALEXZA PHARMACEUTICALS INC     COM            015384100         35,000     11,000       X        28-12020        0         0   11000
ALFACELL CORP                  COM            015404106         24,000    100,000       X        28-12020   100000         0       0
ALLEGHANY CORP DEL             COM            017175100         23,000         80       X        28-12020       80         0       0
ALLEGHENY ENERGY INC           COM            017361106        394,000     11,658       X        28-12020    11623         0      35
ALLERGAN INC                   COM            018490102     31,345,000    777,422       X        28-12020   760365         0   17057
ALLETE INC                     COM NEW        018522300         48,000      1,492       X        28-12020      940         0     552
ALLIANCE DATA SYSTEMS C ORP    COM            018581108        238,000      5,118       X        28-12020     5118         0       0







PAGE 305 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLIANT ENERGY CORP            COM            018802108        181,000      6,192       X        28-12020     5600         0     592
ALLIANT TECHSYSTEMS INC        COM            018804104         81,000        948       X        28-12020      948         0       0
ALLIANZ SE                     SP ADR 1/10 SH 018805101         15,000      1,351       X        28-12020     1351         0       0
ALLIED IRISH BKS P L C         SPON ADR ORD   019228402          2,000        600       X        28-12020      600         0       0
ALLOS THERAPEUTICS INC         COM            019777101          7,000      1,146       X        28-12020     1146         0       0
ALLSTATE CORP                  COM            020002101      8,964,000    273,613       X        28-12020   261795         0   11818
ALON USA ENERGY INC            COM            020520102      1,618,000    176,845       X        28-12020   176845         0       0
ALPHARMA INC                   CL A           020813101         15,000        417       X        28-12020      417         0       0
ALPINE TOTAL DYNAMIC DI VID F  COM SBI        021060108          7,000      1,096       X        28-12020     1096         0       0
ALTAIR NANOTECHNOLOGIES INC    COM            021373105          2,000      2,000       X        28-12020     2000         0       0
ALTERA CORP                    COM            021441100        284,000     16,988       X        28-12020    16988         0       0
ALUMINA LTD                    SPONSORED ADR  022205108          1,000        181       X        28-12020      181         0       0
AMAZON COM INC                 COM            023135106      1,011,000     19,694       X        28-12020    19044         0     650
AMBAC FINL GROUP INC           COM            023139108          8,000      6,528       X        28-12020     6528         0       0
AMBASSADORS GROUP INC          COM            023177108              0         36       X        28-12020       36         0       0
AMEDISYS INC                   COM            023436108      1,678,000     40,589       X        28-12020    40589         0       0
AMERCO                         COM            023586100        317,000      9,188       X        28-12020     7488         0       0
AMEREN CORP                    COM            023608102        953,000     28,647       X        28-12020    27068         0    1579
AMERIANA BANCORP               COM            023613102          6,000      1,100       X        28-12020     1100         0       0
AMERICAN AXLE & MFG HLD GS IN  COM            024061103          1,000        434       X        28-12020      434         0       0
AMERICAN CAMPUS CMNTYS INC     COM            024835100          7,000        338       X        28-12020      338         0       0
AMERICAN COMMERCIAL LIN ES     COM NEW        025195207          3,000        585       X        28-12020      585         0       0
AMERICAN ELEC PWR INC          COM            025537101      2,713,000     81,480       X        28-12020    79099         0    2381
AMERICAN EXPRESS CO            COM            025816109      8,441,000    455,008       X        28-12020   385547         0   69461
AMERICAN EXPRESS CO            COM            025816109        704,000      1,600       X        28-12020     1600         0       0
AMERICAN FINL GROUP INC OHIO   COM            025932104        650,000     28,398       X        28-12020    28398         0       0
AMERICAN GREETINGS CORP        CL A           026375105         22,000      2,911       X        28-12020     2911         0       0
AMERICAN INTL GROUP INC        COM            026874107        701,000    447,171       X        28-12020   428674         0   18497
AMERICAN NATL BANKSHARE S INC  COM            027745108         12,000        700       X        28-12020      700         0       0
AMERICAN NATL INS CO           COM            028591105         24,000        328       X        28-12020      328         0       0
AMERICAN OIL & GAS INC NEW     COM            028723104          2,000      2,353       X        28-12020     2353         0       0







PAGE 306 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 ORIENTAL BIOEN GR IN  COM            028731107          1,000        101       X        28-12020      101         0       0
AMERICAN PHYSICIANS CAP ITAL   COM            028884104        273,000      5,674       X        28-12020     5674         0       0
AMERICAN REPROGRAPHICS CO      COM            029263100      1,011,000    146,581       X        28-12020   146581         0       0
AMERICAN SCIENCE & ENGR INC    COM            029429107        155,000      2,100       X        28-12020      100         0    2000
AMERICAN STS WTR CO            COM            029899101        111,000      3,352       X        28-12020     3352         0       0
AMERICAN TOWER CORP            CL A           029912201      7,698,000    262,564       X        28-12020   260354         0    1460
AMERICAN SUPERCONDUCTOR CORP   COM            030111108        109,000      6,712       X        28-12020     1712         0    5000
AMERICAN WTR WKS CO INC NEW    COM            030420103         12,000        594       X        28-12020      594         0       0
AMERICAN WOODMARK CORP         COM            030506109          9,000        500       X        28-12020      500         0       0
AMERON INTL INC                COM            030710107         12,000        191       X        28-12020      191         0       0
AMERIGAS PARTNERS L P          UNIT L P INT   030975106         84,000      3,000       X        28-12020     2000         0    1000
AMETEK INC NEW                 COM            031100100      4,315,000    142,803       X        28-12020   142803         0       0
AMGEN INC                      COM            031162100     44,932,000    778,055       X        28-12020   752117         0   25938
AMKOR TECHNOLOGY INC           COM            031652100          7,000      3,011       X        28-12020     3011         0       0
AMPHENOL CORP NEW              CL A           032095101        215,000      8,949       X        28-12020     8949         0       0
AMREP CORP NEW                 COM            032159105          6,000        186       X        28-12020      186         0       0
AMYLIN PHARMACEUTICALS INC     COM            032346108         62,000      5,772       X        28-12020     5772         0       0
AMTRUST FINANCIAL SERVI CES I  COM            032359309              0         17       X        28-12020       17         0       0
ANADARKO PETE CORP             COM            032511107     12,805,000    332,191       X        28-12020   319562         0   12499
ANADIGICS INC                  COM            032515108              0        138       X        28-12020      138         0       0
ANALOG DEVICES INC             COM            032654105        606,000     31,865       X        28-12020    29640         0    2225
ANALOGIC CORP                  COM PAR $0.05  032657207         31,000      1,120       X        28-12020     1120         0       0
ANAREN INC                     COM            032744104         10,000        810       X        28-12020      810         0       0
ANCHOR BANCORP WIS INC         COM            032839102          2,000        563       X        28-12020      563         0       0
ANDERSONS INC                  COM            034164103          5,000        311       X        28-12020      311         0       0
ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206         26,000        942       X        28-12020      942         0       0
ANHEUSER BUSCH COS INC COM DEL ED             035229103        260,000      4,000       X        28-12020     4000         0       0
ANIXTER INTL INC               COM            035290105        411,000     13,634       X        28-12020    12134         0       0
ANNALY CAP MGMT INC            COM            035710409        199,000     12,531       X        28-12020    12531         0       0
ANNTAYLOR STORES CORP          COM            036115103          8,000      1,381       X        28-12020     1381         0       0
ANTHRACITE CAP INC             COM            037023108        103,000     46,209       X        28-12020    45709         0     500







PAGE 307 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ANWORTH MORTGAGE ASSET CP      COM            037347101         16,000      2,454       X        28-12020     2454         0       0
AON CORP                       COM            037389103      3,758,000     82,262       X        28-12020    81999         0     133
APACHE CORP                    COM            037411105     41,265,000    553,661       X        28-12020   541704         0   11957
APOGEE ENTERPRISES INC         COM            037598109          5,000        459       X        28-12020      459         0       0
APOLLO GROUP INC               CL A           037604105      1,068,000     13,943       X        28-12020    13906         0      37
APPLE INC                      COM            037833100     23,550,000    275,908       X        28-12020   270549         0    5089
APPLIED MATLS INC              COM            038222105      1,021,000    100,779       X        28-12020    94251         0    6528
APPLIED SIGNAL TECHNOLO GY IN  COM            038237103        861,000     48,000       X        28-12020    48000         0       0
APTARGROUP INC                 COM            038336103      3,940,000    111,826       X        28-12020   108826         0       0
ARBOR RLTY TR INC              COM            038923108          4,000      1,135       X        28-12020     1135         0       0
ARCADIA RES INC                COM            039209101         13,000     35,930       X        28-12020    35930         0       0
ARCH COAL INC                  COM            039380100      2,895,000    177,719       X        28-12020   177239         0     480
ARCHER DANIELS MIDLAND CO      COM            039483102      1,758,000     60,959       X        28-12020    56803         0    4156
ARENA RESOURCES INC            COM            040049108          9,000        323       X        28-12020      323         0       0
ARKANSAS BEST CORP DEL         COM            040790107        366,000     12,155       X        28-12020     9955         0       0
ARROW ELECTRS INC              COM            042735100         40,000      2,123       X        28-12020     2123         0       0
ARTHROCARE CORP                COM            043136100          2,000        405       X        28-12020      405         0       0
ARUBA NETWORKS INC             COM            043176106          4,000      1,543       X        28-12020     1543         0       0
ARVINMERITOR INC               COM            043353101          4,000      1,421       X        28-12020     1421         0       0
ASBURY AUTOMOTIVE GROUP INC    COM            043436104              0         51       X        28-12020       51         0       0
ASCENT MEDIA CORP              COM SER A      043632108          6,000        236       X        28-12020      233         0       3
ASHFORD HOSPITALITY TR INC     COM SHS        044103109          1,000        528       X        28-12020      528         0       0
ASHLAND INC NEW                COM            044209104         29,000      2,690       X        28-12020     2690         0       0
ASIA PAC FD INC                COM            044901106         49,000      7,700       X        28-12020     7700         0       0
ASSOCIATED BANC CORP           COM            045487105         35,000      1,695       X        28-12020     1695         0       0
ASSOCIATED ESTATES RLTY CORP   COM            045604105        106,000     11,592       X        28-12020    11592         0       0
ASTORIA FINL CORP              COM            046265104         44,000      2,642       X        28-12020     2642         0       0
ASTRAZENECA PLC                SPONSORED ADR  046353108         54,000      1,320       X        28-12020     1320         0       0
ATLANTIC TELE NETWORK I N C    COM NEW        049079205         70,000      2,642       X        28-12020     2642         0       0
ATLAS AIR WORLDWIDE HLD GS IN  COM NEW        049164205          6,000        318       X        28-12020      318         0       0
ATLAS AMER INC                 COM            049167109        196,000     13,214       X        28-12020    13214         0       0







PAGE 308 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103          2,000        300       X        28-12020      300         0       0
ATMEL CORP                     COM            049513104         25,000      7,899       X        28-12020     7899         0       0
ATMOS ENERGY CORP              COM            049560105         75,000      3,196       X        28-12020     2196         0    1000
ATWOOD OCEANICS INC            COM            050095108      2,190,000    143,315       X        28-12020   143315         0       0
AUTODESK INC                   COM            052769106        441,000     22,428       X        28-12020    22428         0       0
AUTOLIV INC                    COM            052800109      9,580,000    446,417       X        28-12020   438941         0    7476
AUTOMATIC DATA PROCESSI NG IN  COM            053015103     65,520,000  1,665,487       X        28-12020  1619910         0   45577
AUTOZONE INC                   COM            053332102        500,000      3,589       X        28-12020     3583         0       6
AVALONBAY CMNTYS INC           COM            053484101      2,123,000     35,043       X        28-12020    34243         0     800
AVATAR HLDGS INC               COM            053494100          3,000        112       X        28-12020      112         0       0
AVERY DENNISON CORP            COM            053611109        873,000     26,668       X        28-12020    26668         0       0
AVIS BUDGET GROUP              COM            053774105          1,000        880       X        28-12020      880         0       0
AVNET INC                      COM            053807103         45,000      2,489       X        28-12020     2489         0       0
AVOCENT CORP                   COM            053893103        747,000     41,688       X        28-12020    37688         0       0
AVON PRODS INC                 COM            054303102      8,173,000    340,124       X        28-12020   337174         0    2230
AXA                            SPONSORED ADR  054536107         25,000      1,118       X        28-12020     1118         0       0
AXCELIS TECHNOLOGIES IN C      COM            054540109          3,000      5,547       X        28-12020     1847         0    3700
AXSYS TECHNOLOGIES INC         COM            054615109        304,000      5,548       X        28-12020     5548         0       0
BB&T CORP                      COM            054937107      2,543,000     92,571       X        28-12020    91746         0     825
BJ SVCS CO                     COM            055482103      4,282,000    366,843       X        28-12020   361507         0    5336
BP PLC                         SPONSORED ADR  055622104    149,869,000  3,206,468       X        28-12020  3060777         0  145691
BP PLC                         SPONSORED ADR  055622104     20,934,000     31,700       X        28-12020    31700         0       0
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107        370,000      5,050       X        28-12020     4250         0       0
BPZ RESOURCES INC              COM            055639108          7,000      1,050       X        28-12020     1050         0       0
BMC SOFTWARE INC               COM            055921100        669,000     24,885       X        28-12020    24885         0       0
BAIDU COM INC                  SPON ADR REP A 056752108         21,000        160       X        28-12020      160         0       0
BAKER MICHAEL CORP             COM            057149106      1,746,000     47,303       X        28-12020    47303         0       0
BAKER HUGHES INC               COM            057224107        728,000     22,698       X        28-12020    19910         0    2788
BALCHEM CORP                   COM            057665200      5,452,000    218,865       X        28-12020   218865         0       0
BALDOR ELEC CO                 COM            057741100         11,000        615       X        28-12020      615         0       0
BALDWIN & LYONS INC            CL B           057755209         32,000      1,769       X        28-12020     1769         0       0







PAGE 309 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BALL CORP                      COM            058498106        323,000      7,771       X        28-12020     7771         0       0
BANCORPSOUTH INC               COM            059692103      1,035,000     44,313       X        28-12020    44313         0       0
BANK OF AMERICA CORPORA TION   COM            060505104     23,954,000  1,701,168       X        28-12020  1672119         0   28659
BANK HAWAII CORP               COM            062540109        155,000      3,418       X        28-12020     3418         0       0
BANK MUTUAL CORP NEW           COM            063750103          3,000        244       X        28-12020      244         0       0
BANK OF THE OZARKS INC         COM            063904106      1,206,000     40,683       X        28-12020    40683         0       0
BANK OF NEW YORK MELLON CORP   COM            064058100      7,625,000    269,154       X        28-12020   251134         0   17780
BANK OF NEW YORK MELLON CORP   COM            064058100        494,000      1,900       X        28-12020     1900         0       0
BANKATLANTIC BANCORP           CL A NEW       065908600          1,000        200       X        28-12020        0         0     200
BARD C R INC                   COM            067383109      1,573,000     18,686       X        28-12020    15083         0    3603
BARE ESCENTUALS INC            COM            067511105              0         25       X        28-12020       25         0       0
BARNES & NOBLE INC             COM            067774109         14,000        940       X        28-12020      940         0       0
BARNES GROUP INC               COM            067806109          6,000        404       X        28-12020      404         0       0
BARRICK GOLD CORP              COM            067901108      7,183,000    195,345       X        28-12020   190815         0    4530
BARNWELL INDS INC              COM            068221100          2,000        400       X        28-12020      400         0       0
BARRY R G CORP OHIO            COM            068798107          1,000        250       X        28-12020      250         0       0
BAXTER INTL INC                COM            071813109     12,960,000    241,835       X        28-12020   238624         0    2651
BE AEROSPACE INC               COM            073302101      1,145,000    148,851       X        28-12020   148851         0       0
BEACON POWER CORP              COM            073677106         58,000    110,000       X        28-12020   110000         0       0
BEACON ROOFING SUPPLY I N C    COM            073685109          1,000        100       X        28-12020      100         0       0
BEBE STORES INC                COM            075571109          7,000        893       X        28-12020      893         0       0
BECKMAN COULTER INC            COM            075811109      1,952,000     44,440       X        28-12020    44440         0       0
BECTON DICKINSON & CO          COM            075887109      2,252,000     32,916       X        28-12020    31741         0    1175
BED BATH & BEYOND INC          COM            075896100        448,000     17,629       X        28-12020    17629         0       0
BEL FUSE INC                   CL B           077347300         10,000        484       X        28-12020      484         0       0
BELDEN INC                     COM            077454106         20,000        977       X        28-12020      977         0       0
BELO CORP                      COM SER A      080555105          1,000        823       X        28-12020      823         0       0
BEMIS INC                      COM            081437105      2,227,000     93,995       X        28-12020    93895         0     100
BERKLEY W R CORP               COM            084423102         73,000      2,352       X        28-12020     2352         0       0
BERKSHIRE HATHAWAY INC DEL     CL A           084670108     17,291,000        179       X        28-12020      176         0       3
BERKSHIRE HATHAWAY INC DEL     CL B           084670207     53,005,000     16,492       X        28-12020    15916         0     576







PAGE 310 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 HILLS BANCORP INC    COM            084680107        751,000     24,342       X        28-12020    24342         0       0
BERRY PETE CO                  CL A           085789105         13,000      1,721       X        28-12020     1721         0       0
BEST BUY INC                   COM            086516101      1,368,000     48,682       X        28-12020    48282         0     400
BHP BILLITON LTD               SPONSORED ADR  088606108      2,059,000     47,990       X        28-12020    47990         0       0
BIG LOTS INC                   COM            089302103         52,000      3,633       X        28-12020     3633         0       0
BIGBAND NETWORKS INC           COM            089750509        824,000    149,333       X        28-12020   149333         0       0
BIO RAD LABS INC               CL A           090572207      1,607,000     21,341       X        28-12020    20541         0       0
BLACK & DECKER CORP            COM            091797100        210,000      5,017       X        28-12020     4917         0     100
BLACK BOX CORP DEL             COM            091826107      1,141,000     43,684       X        28-12020    39084         0       0
BLACKBOARD INC                 COM            091935502         11,000        407       X        28-12020      407         0       0
BLACK HILLS CORP               COM            092113109         20,000        760       X        28-12020      760         0       0
BLACKROCK INSD MUN TERM TR I   COM            092474105         15,000      1,500       X        28-12020     1500         0       0
BLACKROCK INCOME OPP TR UST I  COM            092475102         15,000      1,820       X        28-12020     1820         0       0
BLACKROCK INSD MUN INCO ME TR  COM            092479104         28,000      2,675       X        28-12020     2675         0       0
BLOCK H & R INC                COM            093671105      3,975,000    174,977       X        28-12020   162827         0   12150
BLOUNT INTL INC NEW            COM            095180105              0         47       X        28-12020       47         0       0
BOARDWALK PIPELINE PART NERS   UT LTD PARTNER 096627104          7,000        400       X        28-12020      400         0       0
BOB EVANS FARMS INC            COM            096761101        108,000      5,277       X        28-12020     5277         0       0
BOEING CO                      COM            097023105      4,767,000    111,726       X        28-12020   109351         0    2305
BORGWARNER INC                 COM            099724106      4,441,000    204,000       X        28-12020   201295         0    2705
BOSTON BEER INC                CL A           100557107          2,000         66       X        28-12020       66         0       0
BOSTON PRIVATE FINL HLD GS IN  COM            101119105          4,000        572       X        28-12020      572         0       0
BOSTON PROPERTIES INC          COM            101121101        441,000      8,017       X        28-12020     7117         0     900
BOSTON SCIENTIFIC CORP         COM            101137107        713,000     92,046       X        28-12020    91353         0     693
BOTTOMLINE TECH DEL INC        COM            101388106          6,000        826       X        28-12020      826         0       0
BOWNE & CO INC                 COM            103043105          7,000      1,243       X        28-12020     1243         0       0
BRADY CORP                     CL A           104674106         48,000      2,000       X        28-12020     2000         0       0
BRANDYWINE RLTY TR             SH BEN INT NEW 105368203         17,000      2,242       X        28-12020     1552         0     690
BRIGGS & STRATTON CORP         COM            109043109         63,000      3,610       X        28-12020     3610         0       0
BRIGHTPOINT INC                COM NEW        109473405          6,000      1,425       X        28-12020     1125         0     300
BRINKER INTL INC               COM            109641100         30,000      2,838       X        28-12020     2838         0       0







PAGE 311 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BRINKS CO                      COM            109696104         17,000        625       X        28-12020      625         0       0
BRINKS HOME SEC HLDGS I N C    COM            109699108         14,000        625       X        28-12020      625         0       0
BRISTOL MYERS SQUIBB CO        COM            110122108     87,528,000  3,764,608       X        28-12020  3693480         0   71128
BRISTOW GROUP INC              COM            110394103         11,000        414       X        28-12020      414         0       0
BROADCOM CORP                  CL A           111320107        433,000     25,477       X        28-12020    25402         0      75
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306         14,000      4,948       X        28-12020     4948         0       0
BRONCO DRILLING CO INC         COM            112211107          7,000      1,041       X        28-12020     1041         0       0
BROOKDALE SR LIVING INC        COM            112463104          3,000        568       X        28-12020      568         0       0
BROOKFIELD ASSET MGMT I N C    CL A LTD VT SH 112585104        985,000     64,501       X        28-12020     1201         0   63300
BROOKS AUTOMATION INC          COM            114340102          9,000      1,537       X        28-12020     1537         0       0
BROWN & BROWN INC              COM            115236101         28,000      1,321       X        28-12020     1321         0       0
BROWN FORMAN CORP              CL A           115637100  1,353,784,000 27,075,678       X        28-12020 23501509         0 3574169
BROWN FORMAN CORP              CL B           115637209  1,519,163,000 29,504,050       X        28-12020 22455485         0 7048565
BROWN SHOE INC NEW             COM            115736100          8,000        934       X        28-12020      934         0       0
BRUKER CORP                    COM            116794108          1,000        342       X        28-12020      342         0       0
BRUNSWICK CORP                 COM            117043109          7,000      1,690       X        28-12020      890         0     800
BRUSH ENGINEERED MATLS INC     COM            117421107         13,000      1,079       X        28-12020     1079         0       0
BUCKEYE GP HOLDINGS LP         COM UNITS LP   118167105         13,000      1,000       X        28-12020     1000         0       0
BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101        219,000      6,800       X        28-12020     5800         0    1000
BUCKEYE TECHNOLOGIES IN C      COM            118255108          5,000      1,461       X        28-12020     1461         0       0
BUCKLE INC                     COM            118440106         13,000        618       X        28-12020      618         0       0
BUCYRUS INTL INC NEW           COM            118759109         23,000      1,290       X        28-12020     1290         0       0
BUFFALO WILD WINGS INC         COM            119848109        742,000     28,925       X        28-12020    28925         0       0
BUILD A BEAR WORKSHOP          COM            120076104        277,000     56,925       X        28-12020    47425         0       0
BURGER KING HLDGS INC          COM            121208201         78,000      3,272       X        28-12020     3272         0       0
CBIZ INC                       COM            124805102      2,549,000    294,722       X        28-12020   294722         0       0
CBL & ASSOC PPTYS INC          COM            124830100         11,000      1,590       X        28-12020     1590         0       0
CBS CORP NEW                   CL B           124857202        434,000     53,109       X        28-12020    48713         0    4396
C D I CORP                     COM            125071100          2,000        143       X        28-12020      143         0       0
CEC ENTMT INC                  COM            125137109          8,000        320       X        28-12020      320         0       0
CECO ENVIRONMENTAL CORP        COM            125141101         73,000     30,000       X        28-12020    30000         0       0







PAGE 312 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CF INDS HLDGS INC              COM            125269100        154,000      3,127       X        28-12020     3127         0       0
CIGNA CORP                     COM            125509109        770,000     45,678       X        28-12020    44766         0     912
CIT GROUP INC                  COM            125581108         69,000     15,296       X        28-12020    15296         0       0
CMS ENERGY CORP                COM            125896100        339,000     33,484       X        28-12020    13500         0   19984
CSS INDS INC                   COM            125906107          5,000        282       X        28-12020      282         0       0
CNA FINL CORP                  COM            126117100         66,000      3,967       X        28-12020     3967         0       0
CNOOC LTD                      SPONSORED ADR  126132109         19,000        200       X        28-12020      200         0       0
CSG SYS INTL INC               COM            126349109        674,000     38,600       X        28-12020    34000         0       0
CSX CORP                       COM            126408103      3,311,000    101,986       X        28-12020    99617         0    2369
CTS CORP                       COM            126501105        323,000     58,577       X        28-12020    47977         0       0
CVB FINL CORP                  COM            126600105          4,000        362       X        28-12020      362         0       0
CVS CAREMARK CORPORATIO N      COM            126650100     94,674,000  3,294,191       X        28-12020  3204435         0   89756
CV THERAPEUTICS INC            COM            126667104         19,000      2,098       X        28-12020       98         0    2000
CABOT CORP                     COM            127055101         10,000        643       X        28-12020      643         0       0
CABOT OIL & GAS CORP           COM            127097103        146,000      5,598       X        28-12020     5598         0       0
CACI INTL INC                  CL A           127190304        678,000     15,038       X        28-12020    12438         0       0
CADENCE DESIGN SYSTEM I N C    COM            127387108         16,000      4,315       X        28-12020     4315         0       0
CAL MAINE FOODS INC            COM NEW        128030202        987,000     34,400       X        28-12020    30600         0       0
CALAMOS CONV OPP AND IN C FD   SH BEN INT     128117108          9,000      1,045       X        28-12020     1045         0       0
CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101         19,000      3,000       X        28-12020        0         0    3000
CALGON CARBON CORP             COM            129603106         15,000        998       X        28-12020      998         0       0
CALIFORNIA WTR SVC GROU P      COM            130788102          5,000         98       X        28-12020       98         0       0
CALLAWAY GOLF CO               COM            131193104        336,000     36,133       X        28-12020    30033         0       0
CALPINE CORP                   COM NEW        131347304      4,102,000    563,420       X        28-12020   563420         0       0
CAMDEN NATL CORP               COM            133034108          8,000        300       X        28-12020      300         0       0
CAMDEN PPTY TR                 SH BEN INT     133131102         76,000      2,425       X        28-12020     2425         0       0
CAMPBELL SOUP CO               COM            134429109      1,061,000     35,334       X        28-12020    35232         0     102
CANADIAN NATL RY CO            COM            136375102         16,000        437       X        28-12020      437         0       0
CANADIAN NAT RES LTD           COM            136385101         10,000        250       X        28-12020      250         0       0
CANADIAN SOLAR INC             COM            136635109          6,000      1,000       X        28-12020     1000         0       0
CANON INC                      ADR            138006309         71,000      2,279       X        28-12020     2279         0       0







PAGE 313 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CAPELLA EDUCATION COMPA NY     COM            139594105         86,000      1,459       X        28-12020     1459         0       0
CAPITAL CITY BK GROUP I N C    COM            139674105              0          9       X        28-12020        9         0       0
CAPLEASE INC                   COM            140288101              0         43       X        28-12020       43         0       0
CAREER EDUCATION CORP          COM            141665109         18,000      1,019       X        28-12020     1019         0       0
CARLISLE COS INC               COM            142339100         52,000      2,530       X        28-12020     2530         0       0
CARMAX INC                     COM            143130102        259,000     32,874       X        28-12020    32874         0       0
CARNIVAL CORP                  PAIRED CTF     143658300        695,000     28,560       X        28-12020    28480         0      80
CARPENTER TECHNOLOGY CO RP     COM            144285103         19,000        901       X        28-12020      901         0       0
CARRIZO OIL & CO INC           COM            144577103          6,000        369       X        28-12020      369         0       0
CARTER INC                     COM            146229109      2,841,000    147,520       X        28-12020   147520         0       0
CASCADE BANCORP                COM            147154108              0         37       X        28-12020       37         0       0
CASCADE CORP                   COM            147195101          1,000         44       X        28-12020       44         0       0
CASELLA WASTE SYS INC          CL A           147448104          2,000        400       X        28-12020      400         0       0
CASEYS GEN STORES INC          COM            147528103      1,110,000     48,743       X        28-12020    48743         0       0
CASTLE A M & CO                COM            148411101          6,000        526       X        28-12020      526         0       0
CATERPILLAR INC DEL            COM            149123101     10,559,000    236,357       X        28-12020   228546         0    7811
CATHAY GENERAL BANCORP         COM            149150104         23,000        978       X        28-12020      978         0       0
CATO CORP NEW                  CL A           149205106          1,000         69       X        28-12020       69         0       0
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106        845,000     67,439       X        28-12020    54139         0   13300
CEDAR SHOPPING CTRS INC        COM NEW        150602209          1,000         87       X        28-12020       87         0       0
CELADON GROUP INC              COM            150838100              0          9       X        28-12020        9         0       0
CELANESE CORP DEL              COM SER A      150870103         35,000      2,876       X        28-12020     2876         0       0
CELL GENESYS INC               COM            150921104              0      2,000       X        28-12020        0         0    2000
CELGENE CORP                   COM            151020104     16,207,000    293,179       X        28-12020   274766         0   18413
CEMEX SAB DE CV                SPON ADR NEW   151290889         25,000      2,724       X        28-12020     2724         0       0
CENTEX CORP                    COM            152312104        106,000      9,952       X        28-12020     9602         0     350
CENTRAL EUROPEAN DIST C ORP    COM            153435102          8,000        392       X        28-12020      392         0       0
CENTRAL FD CDA LTD             CL A           153501101        144,000     12,838       X        28-12020    12838         0       0
CENTRAL PAC FINL CORP          COM            154760102          1,000         97       X        28-12020       97         0       0
CENTRAL VT PUB SVC CORP        COM            155771108         48,000      2,000       X        28-12020     1000         0    1000
CENTURY ALUM CO                COM            156431108          4,000        389       X        28-12020      389         0       0







PAGE 314 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CENTURYTEL INC                 COM            156700106        209,000      7,672       X        28-12020     7672         0       0
CEPHALON INC                   COM            156708109        787,000     10,208       X        28-12020    10208         0       0
CERADYNE INC                   COM            156710105        980,000     48,240       X        28-12020    42140         0       0
CERNER CORP                    COM            156782104         40,000      1,042       X        28-12020     1042         0       0
CHAMPION ENTERPRISES IN C      COM            158496109          1,000      1,581       X        28-12020     1581         0       0
CHARLES RIV LABS INTL I N C    COM            159864107         40,000      1,539       X        28-12020     1539         0       0
CHARLOTTE RUSSE HLDG IN C      COM            161048103          3,000        426       X        28-12020      426         0       0
CHATTEM INC                    COM            162456107      3,803,000     53,166       X        28-12020    53166         0       0
CHECKPOINT SYS INC             COM            162825103          7,000        736       X        28-12020      736         0       0
CHEESECAKE FACTORY INC         COM            163072101         13,000      1,310       X        28-12020     1310         0       0
CHEMICAL FINL CORP             COM            163731102         67,000      2,418       X        28-12020     2418         0       0
CHEMTURA CORP                  COM            163893100         12,000      8,721       X        28-12020     8277         0     444
CHESAPEAKE ENERGY CORP         COM            165167107     11,797,000    729,553       X        28-12020   716394         0   13159
CHESAPEAKE UTILS CORP          COM            165303108        778,000     24,700       X        28-12020    24700         0       0
CHEVRON CORP NEW               COM            166764100    191,348,000  2,586,832       X        28-12020  2447964         0  138868
CHEVRON CORP NEW               COM            166764100      2,219,000      5,200       X        28-12020     5200         0       0
CHICAGO BRIDGE & IRON C O N V  Y REGISTRY SH  167250109         34,000      3,400       X        28-12020        0         0    3400
CHICOS FAS INC                 COM            168615102        105,000     25,277       X        28-12020    25277         0       0
CHILDRENS PL RETAIL STO RES I  COM            168905107          2,000        106       X        28-12020      106         0       0
CHINA MED TECHNOLOGIES INC     SPONSORED ADR  169483104        100,000      4,938       X        28-12020     4938         0       0
CHIPOTLE MEXICAN GRILL INC     CL A           169656105        207,000      3,332       X        28-12020     3332         0       0
CHOICE HOTELS INTL INC         COM            169905106         21,000        701       X        28-12020      701         0       0
CHIQUITA BRANDS INTL IN C      COM            170032809         12,000        824       X        28-12020      824         0       0
CHORDIANT SOFTWARE INC         COM NEW        170404305              0         49       X        28-12020       49         0       0
CHRISTOPHER & BANKS COR P      COM            171046105          6,000      1,047       X        28-12020     1047         0       0
CHUBB CORP                     COM            171232101     28,121,000    551,379       X        28-12020   546929         0    4450
CHURCH & DWIGHT INC            COM            171340102      3,311,000     59,002       X        28-12020    58652         0     350
CHURCHILL DOWNS INC            COM            171484108        621,000     15,364       X        28-12020    15364         0       0
CIENA CORP                     COM NEW        171779309         20,000      2,935       X        28-12020     2935         0       0
CIMAREX ENERGY CO              COM            171798101        324,000     12,113       X        28-12020    12113         0       0
CINCINNATI BELL INC NEW        COM            171871106         32,000     16,673       X        28-12020    15473         0    1200







PAGE 315 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CINCINNATI FINL CORP           COM            172062101      8,001,000    275,211       X        28-12020   269170         0    6041
CIRRUS LOGIC INC               COM            172755100          1,000        212       X        28-12020      212         0       0
CINTAS CORP                    COM            172908105      2,514,000    108,202       X        28-12020   104002         0    4200
CITIGROUP INC                  COM            172967101     10,146,000  1,512,038       X        28-12020  1406287         0  105751
CITIZENS REPUBLIC BANCO RP IN  COM            174420109         70,000     23,621       X        28-12020    23621         0       0
CITIZENS INC                   CL A           174740100      1,419,000    146,300       X        28-12020   146300         0       0
CITRIX SYS INC                 COM            177376100     12,562,000    532,981       X        28-12020   529281         0    2590
CITY HLDG CO                   COM            177835105      2,651,000     76,221       X        28-12020    70221         0       0
CITY NATL CORP                 COM            178566105         35,000        720       X        28-12020      720         0       0
CLARCOR INC                    COM            179895107        930,000     28,026       X        28-12020    28026         0       0
CLEAN HARBORS INC              COM            184496107         19,000        300       X        28-12020      300         0       0
CLOROX CO DEL                  COM            189054109      4,366,000     78,587       X        28-12020    76987         0    1600
COACH INC                      COM            189754104      1,078,000     51,914       X        28-12020    51914         0       0
COACHMEN INDS INC              COM            189873102         28,000     15,400       X        28-12020    15400         0       0
COBIZ FINANCIAL INC            COM            190897108          5,000        552       X        28-12020      552         0       0
COCA COLA CO                   COM            191216100     77,751,000  1,717,492       X        28-12020  1539124         0  178368
COCA COLA ENTERPRISES I N C    COM            191219104        204,000     16,960       X        28-12020    16537         0     423
COEUR D ALENE MINES COR P IDA  COM            192108108          2,000      2,789       X        28-12020     2789         0       0
COGNEX CORP                    COM            192422103          3,000        236       X        28-12020      236         0       0
COGNIZANT TECHNOLOGY SO LUTIO  CL A           192446102     12,485,000    691,296       X        28-12020   670515         0   20781
COHERENT INC                   COM            192479103        338,000     15,742       X        28-12020    12942         0       0
COHU INC                       COM            192576106              0         32       X        28-12020       32         0       0
COLDWATER CREEK INC            COM            193068103          2,000        700       X        28-12020      700         0       0
COLGATE PALMOLIVE CO           COM            194162103     74,293,000  1,083,937       X        28-12020  1046905         0   36427
COLGATE PALMOLIVE CO           COM            194162103      2,401,000      6,500       X        28-12020     6500         0       0
COLONIAL BANCGROUP INC         COM            195493309          4,000      1,831       X        28-12020     1831         0       0
COLONIAL PPTYS TR              COM SH BEN INT 195872106          3,000        405       X        28-12020      405         0       0
COLUMBIA BKG SYS INC           COM            197236102              0         17       X        28-12020       17         0       0
COLUMBIA SPORTSWEAR CO         COM            198516106         20,000        564       X        28-12020      564         0       0
COLUMBUS MCKINNON CORP N Y     COM            199333105         10,000        735       X        28-12020      735         0       0
COMFORT SYS USA INC            COM            199908104        361,000     34,071       X        28-12020    28071         0       0







PAGE 316 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMERICA INC                   COM            200340107        272,000     13,685       X        28-12020    13685         0       0
COMMERCE BANCSHARES INC        COM            200525103      3,512,000     79,892       X        28-12020    79892         0       0
COMMERCIAL METALS CO           COM            201723103         17,000      1,425       X        28-12020     1425         0       0
COMMSCOPE INC                  COM            203372107         31,000      1,989       X        28-12020     1989         0       0
COMMUNITY BK SHS IND IN C      COM            203599105         11,000        950       X        28-12020      950         0       0
COMMUNITY BK SYS INC           COM            203607106      2,669,000    109,420       X        28-12020   104120         0       0
COMMUNITY HEALTH SYS IN C NEW  COM            203668108         25,000      1,703       X        28-12020     1703         0       0
COMMUNITY TR BANCORP IN C      COM            204149108        852,000     23,204       X        28-12020    20504         0       0
COMMVAULT SYSTEMS INC          COM            204166102          2,000        166       X        28-12020      166         0       0
CGG VERITAS                    SPONSORED ADR  204386106          7,000        500       X        28-12020      500         0       0
COMPANHIA VALE DO RIO D OCE    SPON ADR PFD   204412100          4,000        367       X        28-12020      367         0       0
COMPANHIA VALE DO RIO D OCE    SPONSORED ADR  204412209        989,000     81,662       X        28-12020    79905         0    1757
COMPUTER PROGRAMS & SYS INC    COM            205306103      1,089,000     40,618       X        28-12020    40618         0       0
COMPUTER SCIENCES CORP         COM            205363104      1,183,000     33,648       X        28-12020    33323         0     325
COMPUWARE CORP                 COM            205638109        235,000     34,829       X        28-12020    34200         0     629
COMSTOCK RES INC               COM NEW        205768203         47,000        995       X        28-12020      495         0     500
COMTECH TELECOMMUNICATI ONS C  COM NEW        205826209      7,495,000    163,570       X        28-12020   163570         0       0
COMVERGE INC                   COM            205859101          4,000        915       X        28-12020      915         0       0
CONAGRA FOODS INC              COM            205887102        844,000     51,158       X        28-12020    49598         0    1560
CON-WAY INC                    COM            205944101         23,000        872       X        28-12020      872         0       0
CONCUR TECHNOLOGIES INC        COM            206708109         13,000        393       X        28-12020      393         0       0
CONEXANT SYSTEMS INC           COM NEW        207142308              0         45       X        28-12020       45         0       0
CONMED CORP                    COM            207410101        592,000     24,742       X        28-12020    20542         0       0
CONNECTICUT WTR SVC INC        COM            207797101         24,000      1,000       X        28-12020        0         0    1000
CONNS INC                      COM            208242107          5,000        600       X        28-12020      600         0       0
CONSECO INC                    COM NEW        208464883          7,000      1,324       X        28-12020     1324         0       0
CONSOLIDATED COMM HLDGS INC    COM            209034107          3,000        289       X        28-12020        9         0     280
CONSOLIDATED EDISON INC        COM            209115104      2,167,000     55,660       X        28-12020    54540         0    1120
CONSOLIDATED GRAPHICS I N C    COM            209341106        461,000     20,355       X        28-12020    16655         0       0
CONSTANT CONTACT INC           COM            210313102         58,000      4,349       X        28-12020     4349         0       0
CONSTELLATION ENERGY GR OUP I  COM            210371100      1,661,000     66,213       X        28-12020    65013         0    1200







PAGE 317 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CONTINENTAL AIRLS INC          CL B           210795308         27,000      1,510       X        28-12020     1510         0       0
CONTINENTAL RESOURCES I N C    COM            212015101          7,000        357       X        28-12020      357         0       0
CONVERGYS CORP                 COM            212485106        191,000     29,847       X        28-12020    29847         0       0
COOPER COS INC                 COM NEW        216648402          7,000        434       X        28-12020      434         0       0
COOPER TIRE & RUBR CO          COM            216831107         19,000      2,970       X        28-12020     2970         0       0
COPART INC                     COM            217204106        881,000     32,409       X        28-12020    32409         0       0
CORINTHIAN COLLEGES INC        COM            218868107        414,000     25,282       X        28-12020    25282         0       0
CORN PRODS INTL INC            COM            219023108      1,978,000     68,551       X        28-12020    68551         0       0
CORNING INC                    COM            219350105      8,597,000    902,133       X        28-12020   890032         0   12101
CORUS BANKSHARES INC           COM            220873103          2,000      1,849       X        28-12020     1849         0       0
CORVEL CORP                    COM            221006109        369,000     16,800       X        28-12020    16800         0       0
COURIER CORP                   COM            222660102              0          9       X        28-12020        9         0       0
COUSINS PPTYS INC              COM            222795106          1,000         98       X        28-12020       98         0       0
COVANCE INC                    COM            222816100         74,000      1,608       X        28-12020     1608         0       0
COVENTRY HEALTH CARE IN C      COM            222862104      1,949,000    130,985       X        28-12020   130839         0     146
COX RADIO INC                  CL A           224051102              0         40       X        28-12020       40         0       0
CRANE CO                       COM            224399105        171,000      9,920       X        28-12020     9920         0       0
CREDIT SUISSE GROUP            SPONSORED ADR  225401108         68,000      2,415       X        28-12020     2415         0       0
CREE INC                       COM            225447101        147,000      9,251       X        28-12020     9251         0       0
CROCS INC                      COM            227046109          8,000      6,271       X        28-12020     1271         0    5000
CROSS CTRY HEALTHCARE I N C    COM            227483104        337,000     38,310       X        28-12020    31510         0       0
CROWN CASTLE INTL CORP         COM            228227104         82,000      4,657       X        28-12020     3828         0     829
CROWN HOLDINGS INC             COM            228368106         90,000      4,706       X        28-12020     2456         0    2250
CROWN MEDIA HLDGS INC          CL A           228411104         23,000      8,050       X        28-12020     8050         0       0
CRYOLIFE INC                   COM            228903100         29,000      3,000       X        28-12020     3000         0       0
CUBIC CORP                     COM            229669106         19,000        705       X        28-12020      705         0       0
CUBIST PHARMACEUTICALS INC     COM            229678107        903,000     37,388       X        28-12020    37388         0       0
CULLEN FROST BANKERS IN C      COM            229899109        577,000     11,390       X        28-12020     9690         0       0
CUMMINS INC                    COM            231021106        424,000     15,835       X        28-12020    15732         0     103
CURTISS WRIGHT CORP            COM            231561101      1,571,000     47,040       X        28-12020    47040         0       0
CYMER INC                      COM            232572107        312,000     14,234       X        28-12020    11634         0       0







PAGE 318 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CYPRESS SEMICONDUCTOR C ORP    COM            232806109         11,000      2,440       X        28-12020     2440         0       0
CYTEC INDS INC                 COM            232820100         10,000        471       X        28-12020      471         0       0
DCT INDUSTRIAL TRUST IN C      COM            233153105        182,000     35,935       X        28-12020     3316         0   32619
DPL INC                        COM            233293109      4,957,000    217,020       X        28-12020   214899         0    2121
DST SYS INC DEL                COM            233326107        222,000      5,835       X        28-12020     5835         0       0
DTE ENERGY CO                  COM            233331107        766,000     21,461       X        28-12020    21461         0       0
DXP ENTERPRISES INC NEW        COM NEW        233377407        661,000     45,250       X        28-12020    45250         0       0
DANAHER CORP DEL               COM            235851102     13,498,000    238,448       X        28-12020   234594         0    3294
DANAHER CORP DEL               COM            235851102         15,000      2,200       X        28-12020     2200         0       0
DARDEN RESTAURANTS INC         COM            237194105      2,675,000     94,930       X        28-12020    94510         0     420
DARLING INTL INC               COM            237266101          9,000      1,713       X        28-12020     1713         0       0
DATASCOPE CORP                 COM            238113104         49,000        948       X        28-12020      948         0       0
DATATRAK INTL INC              COM            238134100         34,000    161,800       X        28-12020   161800         0       0
DAWSON GEOPHYSICAL CO          COM            239359102         11,000        605       X        28-12020      605         0       0
DEALERTRACK HLDGS INC          COM            242309102          3,000        253       X        28-12020      253         0       0
DEAN FOODS CO NEW              COM            242370104      8,841,000    491,989       X        28-12020   490724         0    1265
DEERE & CO                     COM            244199105     56,635,000  1,477,931       X        28-12020  1434595         0   43336
DELPHI FINL GROUP INC          CL A           247131105          8,000        409       X        28-12020      409         0       0
DELTA AIR LINES INC DEL        COM NEW        247361702        103,000      9,017       X        28-12020     9017         0       0
DELTA PETE CORP                COM NEW        247907207          6,000      1,359       X        28-12020     1359         0       0
DENBURY RES INC                COM NEW        247916208         36,000      3,277       X        28-12020     3277         0       0
DELUXE CORP                    COM            248019101        435,000     29,069       X        28-12020    23769         0       0
DENISON MINES CORP             COM            248356107          2,000      2,000       X        28-12020     2000         0       0
DENTSPLY INTL INC NEW          COM            249030107      5,407,000    191,463       X        28-12020   189013         0    1800
DESCARTES SYS GROUP INC        COM            249906108         78,000     26,000       X        28-12020    26000         0       0
DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105         85,000      5,542       X        28-12020     5542         0       0
DEVELOPERS DIVERSIFIED RLTY    COM            251591103         60,000     12,146       X        28-12020    12146         0       0
DEVRY INC DEL                  COM            251893103        360,000      6,264       X        28-12020     6264         0       0
DIAMOND FOODS INC              COM            252603105        954,000     47,350       X        28-12020    47350         0       0
DIAMONDROCK HOSPITALITY CO     COM            252784301        569,000    112,187       X        28-12020    97187         0       0
DIAMONDS TR                    UNIT SER 1     252787106        380,000      4,335       X        28-12020     4335         0       0







PAGE 319 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DICKS SPORTING GOODS IN C      COM            253393102     11,663,000    826,578       X        28-12020   820968         0    3900
DIEBOLD INC                    COM            253651103        631,000     22,458       X        28-12020    22458         0       0
DIGI INTL INC                  COM            253798102         12,000      1,442       X        28-12020     1442         0       0
DIGITAL RLTY TR INC            COM            253868103      1,134,000     34,523       X        28-12020    28523         0       0
DIME CMNTY BANCSHARES          COM            253922108         10,000        762       X        28-12020      762         0       0
DINEEQUITY INC                 COM            254423106          4,000        384       X        28-12020      384         0       0
DIODES INC                     COM            254543101          4,000        649       X        28-12020      649         0       0
DIONEX CORP                    COM            254546104        350,000      7,800       X        28-12020     6500         0       0
DISNEY WALT CO                 COM DISNEY     254687106     14,165,000    624,277       X        28-12020   603391         0   20886
DISCOVER FINL SVCS             COM            254709108      3,537,000    371,109       X        28-12020   368718         0    2391
DIVX INC                       COM            255413106          4,000        772       X        28-12020      772         0       0
DIXIE GROUP INC                CL A           255519100          3,000      2,000       X        28-12020        0         0    2000
DR REDDYS LABS LTD             ADR            256135203        991,000    101,120       X        28-12020    99820         0    1300
DOLLAR FINL CORP               COM            256664103              0         16       X        28-12020       16         0       0
DOLLAR TREE INC                COM            256746108        497,000     11,886       X        28-12020    11886         0       0
DOMTAR CORP                    COM            257559104         10,000      5,929       X        28-12020     5929         0       0
DONALDSON INC                  COM            257651109        295,000      8,783       X        28-12020     8783         0       0
DONNELLEY R R & SONS CO        COM            257867101      1,056,000     77,813       X        28-12020    77813         0       0
DORMAN PRODUCTS INC            COM            258278100         11,000        800       X        28-12020      800         0       0
DOUBLE-TAKE SOFTWARE IN C      COM            258598101          2,000        200       X        28-12020      200         0       0
DOVER CORP                     COM            260003108        718,000     21,835       X        28-12020    21835         0       0
DOVER DOWNS GAMING & EN TMT I  COM            260095104          3,000        840       X        28-12020      840         0       0
DOW 30SM ENHANCED PREM & INC   COM            260537105         21,000      2,381       X        28-12020     2381         0       0
DOW CHEM CO                    COM            260543103      5,770,000    382,355       X        28-12020   362086         0   20269
DOWNEY FINL CORP COM DELET     ED             261018105              0      1,355       X        28-12020     1355         0       0
DRESS BARN INC                 COM            261570105          1,000        117       X        28-12020      117         0       0
DRESSER-RAND GROUP INC         COM            261608103         21,000      1,208       X        28-12020     1208         0       0
DREYFUS STRATEGIC MUNS INC     COM            261932107         11,000      2,000       X        28-12020     2000         0       0
DRIL-QUIP INC                  COM            262037104          9,000        455       X        28-12020      455         0       0
DU PONT E I DE NEMOURS & CO    COM            263534109     25,104,000    992,198       X        28-12020   959784         0   32414
DUKE REALTY CORP               COM NEW        264411505        492,000     44,939       X        28-12020    40628         0    4311







PAGE 320 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DURECT CORP                    COM            266605104         47,000     14,000       X        28-12020        0         0   14000
DYCOM INDS INC                 COM            267475101         19,000      2,374       X        28-12020     2374         0       0
DYNAMIC MATLS CORP             COM            267888105          9,000        482       X        28-12020      482         0       0
E M C CORP MASS                COM            268648102      1,471,000    140,414       X        28-12020   136245         0    4169
EMC INS GROUP INC              COM            268664109          9,000        367       X        28-12020      367         0       0
E TRADE FINANCIAL CORP         COM            269246104         92,000     80,006       X        28-12020    80006         0       0
EXCO RESOURCES INC             COM            269279402         13,000      1,480       X        28-12020     1480         0       0
EARTHLINK INC                  COM            270321102          5,000        770       X        28-12020      770         0       0
EASTGROUP PPTY INC             COM            277276101          7,000        195       X        28-12020      195         0       0
EASTMAN CHEM CO                COM            277432100        256,000      8,065       X        28-12020     7890         0     175
EASTMAN KODAK CO               COM            277461109         72,000     10,903       X        28-12020    10903         0       0
EATON CORP                     COM            278058102      5,833,000    117,339       X        28-12020   117339         0       0
EATON VANCE CORP               COM NON VTG    278265103         46,000      2,171       X        28-12020     2171         0       0
EATON VANCE ENHANCED EQ INC    COM            278274105         15,000      1,254       X        28-12020     1254         0       0
EATON VANCE ENH EQTY IN C FD   COM            278277108          7,000        700       X        28-12020      700         0       0
EBAY INC                       COM            278642103      1,244,000     89,130       X        28-12020    88656         0     474
ECHOSTAR CORP                  CL A           278768106          3,000        216       X        28-12020      216         0       0
ECLIPSYS CORP                  COM            278856109         22,000      1,579       X        28-12020      989         0     590
ECOLAB INC                     COM            278865100      4,431,000    126,076       X        28-12020   125201         0     750
ECOLOGY & ENVIRONMENT I N C    CL A           278878103         18,000      1,470       X        28-12020        0         0    1470
EDISON INTL                    COM            281020107      5,910,000    183,984       X        28-12020   183984         0       0
EL PASO ELEC CO                COM NEW        283677854      1,556,000     86,021       X        28-12020    75621         0       0
ELAN PLC                       ADR            284131208          2,000        350       X        28-12020      350         0       0
ELECTRO RENT CORP              COM            285218103          5,000        452       X        28-12020      452         0       0
ELECTRO SCIENTIFIC INDS        COM            285229100              0         71       X        28-12020       71         0       0
ELECTRONIC ARTS INC            COM            285512109      1,120,000     69,780       X        28-12020    67392         0    2388
ELECTRONICS FOR IMAGING INC    COM            286082102         12,000      1,186       X        28-12020     1186         0       0
ELLIS PERRY INTL INC           COM            288853104          1,000        200       X        28-12020      200         0       0
EMCORE CORP                    COM            290846104          3,000      2,000       X        28-12020     2000         0       0
EMERITUS CORP                  COM            291005106          1,000         52       X        28-12020       52         0       0
EMERSON ELEC CO                COM            291011104     41,463,000  1,132,601       X        28-12020  1087229         0   45372







PAGE 321 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EMPIRE DIST ELEC CO            COM            291641108          2,000         96       X        28-12020       96         0       0
EMPLOYERS HOLDINGS INC         COM            292218104          6,000        347       X        28-12020      347         0       0
EMULEX CORP                    COM NEW        292475209          6,000        796       X        28-12020      796         0       0
ENCANA CORP                    COM            292505104        156,000      3,347       X        28-12020     3347         0       0
ENCORE CAP GROUP INC           COM            292554102        370,000     51,450       X        28-12020    42550         0       0
ENCORE WIRE CORP               COM            292562105          4,000        228       X        28-12020      228         0       0
ENERGY CONVERSION DEVIC ES IN  COM            292659109        239,000      9,480       X        28-12020     9480         0       0
ENERNOC INC                    COM            292764107          4,000        573       X        28-12020      573         0       0
ENNIS INC                      COM            293389102          6,000        465       X        28-12020      465         0       0
ENTERCOM COMMUNICATIONS CORP   CL A           293639100              0         91       X        28-12020       91         0       0
ENTERPRISE FINL SVCS CO RP     COM            293712105          7,000        429       X        28-12020      429         0       0
ENTERPRISE PRODS PARTNE RS L   COM            293792107        371,000     17,891       X        28-12020    16891         0    1000
ENTRUST INC                    COM            293848107          3,000      2,000       X        28-12020     2000         0       0
ENZON PHARMACEUTICALS I N C    COM            293904108         10,000      1,692       X        28-12020     1692         0       0
ENZO BIOCHEM INC               COM            294100102          5,000      1,000       X        28-12020        0         0    1000
EQUIFAX INC                    COM            294429105        400,000     15,067       X        28-12020    15067         0       0
EQUITABLE RES INC              COM            294549100     44,326,000  1,321,195       X        28-12020  1290440         0   30005
EQUITABLE RES INC              COM            294549100      1,378,000     14,500       X        28-12020    14500         0       0
EQUITY ONE                     COM            294752100         15,000        870       X        28-12020      870         0       0
ERICSSON L M TEL CO            ADR B SEK 10   294821608        214,000     27,361       X        28-12020    25821         0    1540
ESCO TECHNOLOGIES INC          COM            296315104        237,000      5,791       X        28-12020     5791         0       0
ESCO TECHNOLOGIES INC          COM            296315104      1,290,000      3,000       X        28-12020     3000         0       0
ESSEX PPTY TR INC              COM            297178105         39,000        509       X        28-12020      509         0       0
ESTERLINE TECHNOLOGIES CORP    COM            297425100      6,189,000    163,331       X        28-12020   161731         0       0
ETHAN ALLEN INTERIORS I N C    COM            297602104          2,000        160       X        28-12020      160         0       0
EURONET WORLDWIDE INC          COM            298736109         50,000      4,311       X        28-12020     4311         0       0
EUROPEAN EQUITY FUND           COM            298768102         18,000      3,314       X        28-12020     3314         0       0
EXIDE TECHNOLOGIES             COM NEW        302051206          1,000        264       X        28-12020      264         0       0
EXLSERVICE HOLDINGS INC        COM            302081104              0         17       X        28-12020       17         0       0
EXPEDITORS INTL WASH IN C      COM            302130109      8,092,000    243,210       X        28-12020   240810         0    1690
EXPRESS SCRIPTS INC            COM            302182100      6,003,000    109,186       X        28-12020   106221         0    2965







PAGE 322 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EZCORP INC                     CL A NON VTG   302301106      1,477,000     97,119       X        28-12020    97119         0       0
FLIR SYS INC                   COM            302445101      5,151,000    167,891       X        28-12020   167891         0       0
F M C CORP                     COM NEW        302491303         54,000      1,207       X        28-12020     1207         0       0
FNB CORP PA                    COM            302520101        509,000     38,505       X        28-12020    36205         0    2300
FPIC INS GROUP INC             COM            302563101        767,000     17,525       X        28-12020    17525         0       0
FPL GROUP INC                  COM            302571104     44,714,000    888,435       X        28-12020   870922         0   17513
FX ENERGY INC                  COM            302695101          6,000      2,034       X        28-12020     2034         0       0
FX REAL ESTATE & ENTMT INC     COM            302709100              0         11       X        28-12020       11         0       0
FTI CONSULTING INC             COM            302941109         31,000        694       X        28-12020      694         0       0
FACTSET RESH SYS INC           COM            303075105      5,198,000    117,496       X        28-12020   117496         0       0
FAIR ISAAC CORP                COM            303250104         16,000        963       X        28-12020      963         0       0
FAIRCHILD SEMICONDUCTOR INTL   COM            303726103          6,000      1,219       X        28-12020     1219         0       0
FAIRFAX FINL HLDGS LTD         SUB VTG        303901102         56,000        180       X        28-12020      180         0       0
FAIRPOINT COMMUNICATION S INC  COM            305560104         19,000      5,824       X        28-12020     5564         0     260
FAMILY DLR STORES INC          COM            307000109        468,000     17,956       X        28-12020    17815         0     141
FARMERS CAP BK CORP            COM            309562106         85,000      3,500       X        28-12020     3500         0       0
FARO TECHNOLOGIES INC          COM            311642102          4,000        264       X        28-12020      264         0       0
FASTENAL CO                    COM            311900104      1,154,000     33,141       X        28-12020    31494         0    1647
FEDERAL AGRIC MTG CORP         CL C           313148306          2,000        434       X        28-12020      434         0       0
FEDERAL MOGUL CORP             COM            313549404          2,000        529       X        28-12020      529         0       0
FEDERAL NATL MTG ASSN          COM            313586109          5,000      6,636       X        28-12020     4550         0    2086
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206        110,000      1,779       X        28-12020     1779         0       0
FEDERAL SIGNAL CORP            COM            313855108         25,000      3,073       X        28-12020     2573         0     500
FEDERATED INVS INC PA          CL B           314211103        131,000      7,750       X        28-12020     7750         0       0
FERRELLGAS PARTNERS L.P .      UNIT LTD PART  315293100         19,000      1,300       X        28-12020      800         0     500
FERRO CORP                     COM            315405100        542,000     76,808       X        28-12020    76808         0       0
F5 NETWORKS INC                COM            315616102         24,000      1,047       X        28-12020     1047         0       0
FIFTH THIRD BANCORP            COM            316773100      3,837,000    464,576       X        28-12020   459486         0    5090
FINANCIAL FED CORP             COM            317492106        682,000     29,299       X        28-12020    24899         0       0
FIRST AMERN CORP CALIF         COM            318522307        127,000      4,398       X        28-12020     4398         0       0
FIRST BANCORP P R              COM            318672102          7,000        610       X        28-12020      610         0       0







PAGE 323 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 N C              COM            318910106         11,000        620       X        28-12020      620         0       0
FIRST BUSEY CORP               COM            319383105         58,000      3,149       X        28-12020     3149         0       0
FIRST COMWLTH FINL CORP PA     COM            319829107        136,000     10,982       X        28-12020     7282         0    3700
FIRST FINL BANCORP OH          COM            320209109        478,000     38,531       X        28-12020    32331         0       0
FIRST FINL CORP IND            COM            320218100     48,932,000  1,193,763       X        28-12020  1193763         0       0
FIRST HORIZON NATL CORP        COM            320517105        264,000     24,947       X        28-12020    23984         0     963
FIRST MARBLEHEAD CORP          COM            320771108          4,000      3,414       X        28-12020     3414         0       0
FIRST MERCHANTS CORP           COM            320817109         13,000        589       X        28-12020      589         0       0
FIRST MERCURY FINANCIAL CORP   COM            320841109         10,000        668       X        28-12020      668         0       0
FIRST MIDWEST BANCORP D E L    COM            320867104         62,000      3,129       X        28-12020     3129         0       0
FIRST SOLAR INC                COM            336433107      4,425,000     32,071       X        28-12020    30223         0    1738
1ST SOURCE CORP                COM            336901103        226,000      9,563       X        28-12020     9563         0       0
FISERV INC                     COM            337738108        634,000     17,432       X        28-12020    17432         0       0
FIRSTFED FINL CORP             COM            337907109          1,000        419       X        28-12020      419         0       0
FIRSTMERIT CORP                COM            337915102      1,934,000     93,938       X        28-12020    93066         0     872
FLAGSTAR BANCORP INC           COM            337930101              0         69       X        28-12020       69         0       0
FIRSTENERGY CORP               COM            337932107     20,148,000    414,770       X        28-12020   395531         0   19239
FLAMEL TECHNOLOGIES SA         SPONSORED ADR  338488109          2,000        500       X        28-12020      500         0       0
FLEETWOOD ENTERPRISES I N C    COM            339099103          3,000     34,000       X        28-12020    34000         0       0
FLEXSTEEL INDS INC             COM            339382103          2,000        350       X        28-12020      350         0       0
FLOTEK INDS INC DEL            COM            343389102          2,000        887       X        28-12020      887         0       0
FLUOR CORP NEW                 COM            343412102        768,000     17,101       X        28-12020    17003         0      98
FLOW INTL CORP                 COM            343468104          1,000        500       X        28-12020        0         0     500
FLOWERS FOODS INC              COM            343498101      1,469,000     60,290       X        28-12020    60290         0       0
FLUSHING FINL CORP             COM            343873105      1,145,000     95,750       X        28-12020    95750         0       0
FOOT LOCKER INC                COM            344849104         12,000      1,669       X        28-12020     1669         0       0
FORCE PROTECTION INC           COM NEW        345203202         12,000      1,959       X        28-12020     1959         0       0
FORD MTR CO DEL                COM PAR $0.01  345370860        530,000    231,630       X        28-12020   230530         0    1100
FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206         17,000      1,900       X        28-12020     1400         0     500
FOREST CITY ENTERPRISES INC    CL A           345550107        125,000     18,613       X        28-12020    18613         0       0
FOREST CITY ENTERPRISES INC    CL B CONV      345550305          6,000        900       X        28-12020      900         0       0







PAGE 324 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 LABS INC                COM            345838106        477,000     18,724       X        28-12020    18724         0       0
FOREST OIL CORP                COM PAR $0.01  346091705         19,000      1,163       X        28-12020     1163         0       0
FORESTAR GROUP INC             COM            346233109          5,000        490       X        28-12020      490         0       0
FORMFACTOR INC                 COM            346375108         13,000        912       X        28-12020      912         0       0
FORRESTER RESH INC             COM            346563109          1,000         39       X        28-12020       39         0       0
FORTUNE BRANDS INC             COM            349631101     26,728,000    647,464       X        28-12020   631877         0   15587
FORWARD AIR CORP               COM            349853101        105,000      4,291       X        28-12020     4291         0       0
FOSSIL INC                     COM            349882100          7,000        419       X        28-12020      419         0       0
FOSTER L B CO                  COM            350060109        108,000      3,441       X        28-12020     3441         0       0
FRANKLIN ELEC INC              COM            353514102        360,000     12,830       X        28-12020    12830         0       0
FRANKLIN RES INC               COM            354613101     46,193,000    724,268       X        28-12020   700455         0   23813
FREDS INC                      CL A           356108100          5,000        490       X        28-12020      490         0       0
FREIGHTCAR AMER INC            COM            357023100        207,000     11,325       X        28-12020    11325         0       0
FRESENIUS MED CARE AG&C O KGA  SPONSORED ADR  358029106        130,000      2,762       X        28-12020     2762         0       0
FRIEDMAN BILLINGS RAMSE Y GRO  CL A           358434108          1,000      6,573       X        28-12020     6573         0       0
FUEL TECH INC                  COM            359523107          8,000        750       X        28-12020      750         0       0
FULLER H B CO                  COM            359694106          8,000        522       X        28-12020      522         0       0
FULTON FINL CORP PA            COM            360271100        863,000     89,734       X        28-12020    89734         0       0
FURNITURE BRANDS INTL I N C    COM            360921100              0         88       X        28-12020       88         0       0
FURMANITE CORPORATION          COM            361086101         54,000     10,000       X        28-12020    10000         0       0
G & K SVCS INC                 CL A           361268105        290,000     14,354       X        28-12020    11654         0       0
GAMCO INVESTORS INC            COM            361438104          5,000        187       X        28-12020      187         0       0
GATX CORP                      COM            361448103      1,114,000     35,974       X        28-12020    35974         0       0
GFI GROUP INC                  COM            361652209          2,000        612       X        28-12020      612         0       0
GABELLI EQUITY TR INC          COM            362397101          1,000        400       X        28-12020      400         0       0
GALLAGHER ARTHUR J & CO        COM            363576109      1,281,000     49,436       X        28-12020    49436         0       0
GANNETT INC                    COM            364730101        668,000     83,656       X        28-12020    70106         0    4450
GAP INC DEL                    COM            364760108      7,492,000    559,464       X        28-12020   559237         0     227
GARDNER DENVER INC             COM            365558105      1,362,000     58,368       X        28-12020    58368         0       0
GARTNER INC                    COM            366651107         14,000        797       X        28-12020      797         0       0
GAYLORD ENTMT CO NEW           COM            367905106          5,000        472       X        28-12020      472         0       0







PAGE 325 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GENCORP INC                    COM            368682100          5,000      1,221       X        28-12020     1221         0       0
GENENTECH INC                  COM NEW        368710406     12,636,000    152,398       X        28-12020   150384         0    1594
GENERAL AMERN INVS INC         COM            368802104          6,000        372       X        28-12020      372         0       0
GENERAL CABLE CORP DEL NEW     COM            369300108         14,000        805       X        28-12020      805         0       0
GENERAL COMMUNICATION I N C    CL A           369385109        177,000     21,876       X        28-12020    21876         0       0
GENERAL DYNAMICS CORP          COM            369550108      8,485,000    147,329       X        28-12020   146829         0     500
GENERAL ELECTRIC CO            COM            369604103    181,015,000 11,173,781       X        28-12020 10543977         0  629804
GENERAL GROWTH PPTYS IN C      COM            370021107          7,000      5,281       X        28-12020     5281         0       0
GENERAL MLS INC                COM            370334104     37,283,000    613,702       X        28-12020   597028         0   16194
GENERAL MLS INC                COM            370334104         40,000        300       X        28-12020      300         0       0
GENERAL MTRS CORP              COM            370442105        260,000     80,966       X        28-12020    79266         0    1700
GENERAL STEEL HOLDINGS INC     COM            370853103          1,000        200       X        28-12020      200         0       0
GENESCO INC                    COM            371532102      1,049,000     61,999       X        28-12020    52799         0       0
GENTEX CORP                    COM            371901109        104,000     11,770       X        28-12020    11770         0       0
GENUINE PARTS CO               COM            372460105      2,036,000     53,797       X        28-12020    53797         0       0
GEORESOURCES INC               COM            372476101          4,000        488       X        28-12020      488         0       0
GEOKINETICS INC                COM PAR $0.01  372910307          1,000        429       X        28-12020      429         0       0
GENZYME CORP                   COM            372917104     25,596,000    385,646       X        28-12020   380589         0    4567
GETTY RLTY CORP NEW            COM            374297109        360,000     17,103       X        28-12020    17103         0       0
GEVITY HR INC                  COM            374393106              0         15       X        28-12020       15         0       0
GIBRALTAR INDS INC             COM            374689107        320,000     26,818       X        28-12020    22818         0       0
GILEAD SCIENCES INC            COM            375558103     10,915,000    213,412       X        28-12020   202415         0   10997
GILDAN ACTIVEWEAR INC          COM            375916103      1,641,000    139,552       X        28-12020   139552         0       0
GLADSTONE COML CORP            COM            376536108          5,000        545       X        28-12020      545         0       0
GLATFELTER                     COM            377316104         13,000      1,402       X        28-12020     1402         0       0
GLOBAL CASH ACCESS HLDG S INC  COM            378967103              0        100       X        28-12020      100         0       0
GLOBAL INCOME&CURRENCY FD IN   COM            378968101         14,000      1,000       X        28-12020     1000         0       0
GLOBALSTAR INC                 COM            378973408          4,000     20,000       X        28-12020    20000         0       0
GLOBAL INDS LTD                COM            379336100          6,000      1,598       X        28-12020     1598         0       0
GOLDCORP INC NEW               COM            380956409        357,000     11,335       X        28-12020     6835         0    4500
GOODRICH CORP                  COM            382388106        724,000     19,548       X        28-12020    19370         0     178







PAGE 326 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GOODYEAR TIRE & RUBR CO        COM            382550101         68,000     11,451       X        28-12020    11451         0       0
GORMAN RUPP CO                 COM            383082104         41,000      1,319       X        28-12020     1319         0       0
GRACO INC                      COM            384109104      2,795,000    117,775       X        28-12020   117775         0       0
GRAFTECH INTL LTD              COM            384313102        130,000     15,577       X        28-12020    13577         0    2000
GRAHAM CORP                    COM            384556106          2,000        226       X        28-12020      226         0       0
GRAINGER W W INC               COM            384802104        331,000      4,201       X        28-12020     4201         0       0
GRAMERCY CAP CORP              COM            384871109          2,000      1,257       X        28-12020     1257         0       0
GRANITE CONSTR INC             COM            387328107         30,000        679       X        28-12020      679         0       0
GRAY TELEVISION INC            COM            389375106          1,000      1,380       X        28-12020     1380         0       0
GREAT NORTHN IRON ORE P PTYS   CTFS BEN INT   391064102         11,000        150       X        28-12020      150         0       0
GREAT PLAINS ENERGY INC        COM            391164100        129,000      6,742       X        28-12020     5714         0    1028
GREEN MTN COFFEE ROASTE RS IN  COM            393122106          8,000        200       X        28-12020      200         0       0
GREENBRIER COS INC             COM            393657101          4,000        653       X        28-12020      653         0       0
GREEN BANKSHARES INC           COM NEW        394361208          6,000        460       X        28-12020      460         0       0
GREENHILL & CO INC             COM            395259104         11,000        153       X        28-12020      153         0       0
GREIF INC                      CL A           397624107        390,000     11,660       X        28-12020    10660         0    1000
GRIFFON CORP                   COM            398433102          9,000        943       X        28-12020      943         0       0
GRUBB & ELLIS CO               COM PAR $0.01  400095204          1,000        849       X        28-12020      849         0       0
GUESS INC                      COM            401617105         14,000        934       X        28-12020      934         0       0
GULF ISLAND FABRICATION INC    COM            402307102              0          5       X        28-12020        5         0       0
GULFMARK OFFSHORE INC          COM            402629109         66,000      2,763       X        28-12020     2763         0       0
GULFPORT ENERGY CORP           COM NEW        402635304          5,000      1,153       X        28-12020     1153         0       0
GYMBOREE CORP                  COM            403777105          5,000        192       X        28-12020      192         0       0
H & Q HEALTHCARE FD            SH BEN INT     404052102          6,000        533       X        28-12020      533         0       0
HCC INS HLDGS INC              COM            404132102        101,000      3,794       X        28-12020     3794         0       0
HNI CORP                       COM            404251100         78,000      4,967       X        28-12020     4967         0       0
HSBC HLDGS PLC                 ADR A 1/40PF A 404280406        685,000     15,540       X        28-12020    10240         0    5300
HSN INC                        COM            404303109          4,000        551       X        28-12020      551         0       0
HACKETT GROUP INC              COM            404609109          2,000        800       X        28-12020      800         0       0
HAEMONETICS CORP               COM            405024100        601,000     10,638       X        28-12020    10638         0       0
HAIN CELESTIAL GROUP IN C      COM            405217100          7,000        383       X        28-12020      383         0       0







PAGE 327 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HALLIBURTON CO                 COM            406216101      1,534,000     84,403       X        28-12020    78643         0    5760
HANCOCK HLDG CO                COM            410120109         22,000        478       X        28-12020      478         0       0
HANESBRANDS INC                COM            410345102        187,000     14,690       X        28-12020    13290         0    1400
HANOVER INS GROUP INC          COM            410867105         87,000      2,036       X        28-12020     2036         0       0
HANSEN NAT CORP                COM            411310105         33,000        975       X        28-12020      975         0       0
HARLEY DAVIDSON INC            COM            412822108      2,873,000    169,339       X        28-12020   155199         0   14140
HARLEYSVILLE GROUP INC         COM            412824104          1,000         32       X        28-12020       32         0       0
HARLEYSVILLE NATL CORP PA      COM            412850109          1,000         35       X        28-12020       35         0       0
HARMAN INTL INDS INC           COM            413086109         54,000      3,217       X        28-12020     3217         0       0
HARMONIC INC                   COM            413160102         73,000     13,021       X        28-12020     6021         0    7000
HARRIS CORP DEL                COM            413875105        545,000     14,309       X        28-12020    12865         0    1444
HARSCO CORP                    COM            415864107        478,000     17,252       X        28-12020    17252         0       0
HARTE-HANKS INC                COM            416196103          2,000        290       X        28-12020      290         0       0
HARTFORD FINL SVCS GROU P INC  COM            416515104        420,000     25,625       X        28-12020    23982         0    1643
HARTMARX CORP COM DELET        ED             417119104              0      1,000       X        28-12020        0         0    1000
HASBRO INC                     COM            418056107        237,000      8,105       X        28-12020     8105         0       0
HAVERTY FURNITURE INC          COM            419596101          4,000        409       X        28-12020      409         0       0
HAWAIIAN ELEC INDUSTRIE S      COM            419870100        188,000      8,467       X        28-12020     8467         0       0
HAYNES INTERNATIONAL IN C      COM NEW        420877201          5,000        186       X        28-12020      186         0       0
HEALTHCARE SVCS GRP INC        COM            421906108          5,000        330       X        28-12020      330         0       0
HEALTHSOUTH CORP               COM NEW        421924309         10,000        911       X        28-12020      911         0       0
HEALTH MGMT ASSOC INC N E W    CL A           421933102          9,000      5,496       X        28-12020     5496         0       0
HEALTHCARE RLTY TR             COM            421946104         20,000        834       X        28-12020      834         0       0
HEALTHWAYS INC                 COM            422245100          6,000        557       X        28-12020      557         0       0
HEARST-ARGYLE TELEVISIO N INC  COM            422317107              0         53       X        28-12020       53         0       0
HEARTLAND EXPRESS INC          COM            422347104          6,000        399       X        28-12020      399         0       0
HECLA MNG CO                   COM            422704106          3,000      1,030       X        28-12020     1030         0       0
HEICO CORP NEW                 COM            422806109        207,000      5,330       X        28-12020     5330         0       0
HEIDRICK & STRUGGLES IN TL IN  COM            422819102         24,000      1,119       X        28-12020     1119         0       0
HEINZ H J CO                   COM            423074103     17,946,000    477,301       X        28-12020   460829         0   16472
HELMERICH & PAYNE INC          COM            423452101         64,000      2,832       X        28-12020     2599         0     233







PAGE 328 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HENRY JACK & ASSOC INC         COM            426281101         74,000      3,782       X        28-12020     3782         0       0
HERITAGE COMMERCE CORP         COM            426927109          4,000        383       X        28-12020      383         0       0
HERCULES OFFSHORE INC          COM            427093109          4,000        802       X        28-12020      802         0       0
HERCULES TECH GROWTH CA P INC  COM            427096508         10,000      1,286       X        28-12020     1286         0       0
HERSHA HOSPITALITY TR          SH BEN INT A   427825104              0         49       X        28-12020       49         0       0
HERSHEY CO                     COM            427866108      1,753,000     50,461       X        28-12020    48261         0    2200
HEWLETT PACKARD CO             COM            428236103     25,490,000    702,387       X        28-12020   674494         0   27893
HEXCEL CORP NEW                COM            428291108        164,000     22,129       X        28-12020    22129         0       0
HIBBETT SPORTS INC             COM            428567101          1,000         73       X        28-12020       73         0       0
HIGHWOODS PPTYS INC            COM            431284108         27,000      1,000       X        28-12020     1000         0       0
HILL ROM HLDGS INC             COM            431475102      5,056,000    307,190       X        28-12020   307190         0       0
HILLENBRAND INC                COM            431571108      5,189,000    311,090       X        28-12020   311090         0       0
HITACHI LIMITED                ADR 10 COM     433578507          4,000        106       X        28-12020      106         0       0
HOLLY CORP                     COM PAR $0.01  435758305         19,000      1,022       X        28-12020     1022         0       0
HOLOGIC INC                    COM            436440101      7,582,000    580,029       X        28-12020   563234         0   16795
HOME BANCSHARES INC            COM            436893200         13,000        473       X        28-12020      473         0       0
HOME DEPOT INC                 COM            437076102     57,835,000  2,512,314       X        28-12020  2453588         0   58726
HOME PROPERTIES INC            COM            437306103         25,000        608       X        28-12020      608         0       0
HONDA MOTOR LTD                AMERN SHS      438128308     14,520,000    680,437       X        28-12020   652386         0   28051
HONEYWELL INTL INC             COM            438516106     26,513,000    807,579       X        28-12020   772894         0   34685
HOOKER FURNITURE CORP          COM            439038100          5,000        610       X        28-12020      610         0       0
HORACE MANN EDUCATORS C ORP N  COM            440327104          2,000        260       X        28-12020      260         0       0
HORMEL FOODS CORP              COM            440452100      5,799,000    186,585       X        28-12020   186585         0       0
HORNBECK OFFSHORE SVCS INC N   COM            440543106         30,000      1,825       X        28-12020     1825         0       0
HOSPIRA INC                    COM            441060100      5,361,000    199,920       X        28-12020   194572         0    5348
HOVNANIAN ENTERPRISES I N C    CL A           442487203          4,000      2,056       X        28-12020     2056         0       0
HUANENG PWR INTL INC           SPON ADR H SHS 443304100          6,000        218       X        28-12020      218         0       0
HUB GROUP INC                  CL A           443320106          8,000        319       X        28-12020      319         0       0
HUBBELL INC                    CL A           443510102         53,000      1,750       X        28-12020     1750         0       0
HUBBELL INC                    CL B           443510201      3,712,000    113,568       X        28-12020   113568         0       0
HUDSON CITY BANCORP            COM            443683107        755,000     47,302       X        28-12020    47302         0       0







PAGE 329 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HUGOTON RTY TR TEX             UNIT BEN INT   444717102        604,000     37,675       X        28-12020    33275         0       0
HUMANA INC                     COM            444859102      8,504,000    228,101       X        28-12020   228101         0       0
HUMANA INC                     COM            444859102      9,944,000      4,400       X        28-12020     4400         0       0
HUMAN GENOME SCIENCES I N C    COM            444903108         22,000     10,494       X        28-12020     2094         0    8400
HUNT J B TRANS SVCS INC        COM            445658107         38,000      1,443       X        28-12020     1443         0       0
HUNTINGTON BANCSHARES I N C    COM            446150104      2,173,000    283,777       X        28-12020   282439         0    1338
HUNTSMAN CORP                  COM            447011107          5,000      1,593       X        28-12020     1593         0       0
HURCO COMPANIES INC            COM            447324104          4,000        300       X        28-12020      300         0       0
HURON CONSULTING GROUP INC     COM            447462102      4,546,000     79,385       X        28-12020    79385         0       0
HUTCHINSON TECHNOLOGY I N C    COM            448407106          2,000        627       X        28-12020      627         0       0
HYDROGENICS CORP               COM            448882100          2,000      3,675       X        28-12020     1175         0    2500
I-FLOW CORP                    COM NEW        449520303          1,000        260       X        28-12020      260         0       0
ING RISK MANAGED NAT RE S FD   COM            449810100          3,000        225       X        28-12020      225         0       0
IMS HEALTH INC                 COM            449934108        971,000     64,071       X        28-12020    64071         0       0
IBERIABANK CORP                COM            450828108         18,000        376       X        28-12020      376         0       0
ITT CORP NEW                   COM            450911102        868,000     18,879       X        28-12020    18115         0     764
ICONIX BRAND GROUP INC         COM            451055107         10,000      1,053       X        28-12020     1053         0       0
IDACORP INC                    COM            451107106         35,000      1,211       X        28-12020     1211         0       0
IDEARC INC COM DELET           ED             451663108              0      4,122       X        28-12020     3869         0     253
IHS INC                        CL A           451734107         58,000      1,560       X        28-12020     1560         0       0
ILLINOIS TOOL WKS INC          COM            452308109     17,145,000    489,135       X        28-12020   458345         0   30790
ILLUMINA INC                   COM            452327109         64,000      2,432       X        28-12020     2432         0       0
IMMERSION CORP                 COM            452521107          2,000        454       X        28-12020      454         0       0
IMMUCOR INC                    COM            452526106        162,000      6,080       X        28-12020     6080         0       0
IMMUNOMEDICS INC               COM            452907108          1,000        700       X        28-12020        0         0     700
IMPERIAL OIL LTD               COM NEW        453038408        944,000     28,010       X        28-12020    28010         0       0
IMPERIAL SUGAR CO NEW          COM NEW        453096208          5,000        378       X        28-12020      378         0       0
INDEPENDENT BANK CORP M ASS    COM            453836108              0         11       X        28-12020       11         0       0
INDEPENDENT BANK CORP M ICH    COM            453838104         74,000     34,426       X        28-12020    34426         0       0
INDEVUS PHARMACEUTICALS INC    COM            454072109              0         75       X        28-12020       75         0       0
INDIA FD INC                   COM            454089103         60,000      3,293       X        28-12020     3293         0       0







PAGE 330 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INDIANA COMMUNITY BANCO RP     COM            454674102          6,000        500       X        28-12020      500         0       0
INERGY L P                     UNIT LTD PTNR  456615103          3,000        200       X        28-12020      200         0       0
ING GROEP N V                  SPONSORED ADR  456837103         30,000      2,731       X        28-12020     2731         0       0
INGRAM MICRO INC               CL A           457153104         43,000      3,235       X        28-12020     3235         0       0
INLAND REAL ESTATE CORP        COM NEW        457461200         10,000        793       X        28-12020      793         0       0
INTEGRA LIFESCIENCES HL DGS C  COM NEW        457985208        101,000      2,842       X        28-12020     2842         0       0
INTEGRATED DEVICE TECHN OLOGY  COM            458118106         19,000      3,402       X        28-12020     3402         0       0
INTEL CORP                     COM            458140100     62,856,000  4,287,592       X        28-12020  4065690         0  220372
INTER PARFUMS INC              COM            458334109        204,000     26,508       X        28-12020    26508         0       0
INTERFACE INC                  CL A           458665106          5,000      1,171       X        28-12020     1171         0       0
INTERLINE BRANDS INC           COM            458743101        667,000     62,765       X        28-12020    51865         0       0
INTERMEC INC                   COM            458786100          4,000        281       X        28-12020      281         0       0
INTERNATIONAL BANCSHARE S COR  COM            459044103      2,127,000     97,437       X        28-12020    86837         0       0
INTERNATIONAL BUSINESS MACHS   COM            459200101     67,857,000    806,279       X        28-12020   722687         0   83592
INTERNATIONAL BUSINESS MACHS   COM            459200101      2,190,000      1,000       X        28-12020     1000         0       0
INTERNATIONAL FLAVORS&F RAGRA  COM            459506101      3,786,000    127,373       X        28-12020   127373         0       0
INTERNATIONAL GAME TECH NOLOG  COM            459902102        279,000     23,460       X        28-12020    21565         0    1895
INTL PAPER CO                  COM            460146103        423,000     35,828       X        28-12020    35578         0     250
INTERNATIONAL RECTIFIER CORP   COM            460254105         11,000        788       X        28-12020      788         0       0
INTERNATIONAL SPEEDWAY CORP    CL A           460335201        675,000     23,503       X        28-12020    20603         0       0
INTERPUBLIC GROUP COS I N C    COM            460690100        111,000     27,899       X        28-12020    27899         0       0
INTEROIL CORP                  COM            460951106         14,000      1,000       X        28-12020        0         0    1000
INTEVAC INC                    COM            461148108              0          8       X        28-12020        8         0       0
INTUIT                         COM            461202103      5,772,000    242,603       X        28-12020   242403         0     200
INVACARE CORP                  COM            461203101      4,309,000    277,603       X        28-12020   272771         0     532
INVESTORS REAL ESTATE T R      SH BEN INT     461730103         15,000      1,400       X        28-12020     1400         0       0
ION GEOPHYSICAL CORP           COM            462044108      1,567,000    456,972       X        28-12020   456972         0       0
IOWA TELECOMM SERVICES INC     COM            462594201        186,000     13,060       X        28-12020    13060         0       0
IRON MTN INC                   COM            462846106        382,000     15,468       X        28-12020    15468         0       0
IRWIN FINL CORP                COM            464119106              0        200       X        28-12020      200         0       0
ISHARES COMEX GOLD TR          ISHARES        464285105         85,000        981       X        28-12020      981         0       0







PAGE 331 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 BRAZIL    464286400        184,000      5,277       X        28-12020     5177         0     100
ISHARES INC                    MSCI CDA INDEX 464286509         36,000      2,030       X        28-12020     1750         0     280
ISHARES INC                    MSCI BRIC INDX 464286608          3,000        113       X        28-12020      113         0       0
ISHARES INC                    MSCI PAC J IDX 464286665          6,000        472       X        28-12020      472         0       0
ISHARES INC                    MSCI TAIWAN    464286731          4,000        502       X        28-12020      502         0       0
ISHARES INC                    MSCI MEX
                               INVEST         464286822          4,000        124       X        28-12020      124         0       0
ISHARES INC                    MSCI MALAYSIA  464286830         14,000      1,900       X        28-12020     1900         0       0
ISHARES INC                    MSCI JAPAN     464286848        145,000     15,159       X        28-12020    15159         0       0
ISHARES INC                    MSCI HONG KONG 464286871         10,000      1,000       X        28-12020     1000         0       0
ISHARES TR                     DJ SEL DIV INX 464287168     43,146,000  1,044,940       X        28-12020  1016906         0   28034
ISHARES TR                     BARCLYS TIPS
                               BD             464287176      5,931,000     59,764       X        28-12020    58717         0    1047
ISHARES TR                     FTSE XNHUA IDX 464287184        298,000     10,263       X        28-12020    10263         0       0
ISHARES TR                     S&P 500 INDEX  464287200    155,652,000  1,723,522       X        28-12020  1659911         0   63611
ISHARES TR                     BARCLYS US
                               AGG B          464287226     20,189,000    193,748       X        28-12020   183960         0    9788
ISHARES TR                     MSCI EMERG MKT 464287234     65,015,000  2,603,739       X        28-12020  2534440         0   69299
ISHARES TR                     IBOXX INV CPBD 464287242     62,386,000    613,725       X        28-12020   583104         0   30621
ISHARES TR                     S&P GBL TELCM  464287275      7,545,000    146,982       X        28-12020   144235         0    2747
ISHARES TR                     S&P GBL INF    464287291          8,000        222       X        28-12020      222         0       0
ISHARES TR                     S&P500 GRW     464287309     17,096,000    380,501       X        28-12020   369155         0   11346
ISHARES TR                     S&P GBL HLTHCR 464287325         10,000        223       X        28-12020      223         0       0
ISHARES TR                     S&P GBL ENER   464287341         29,000      1,000       X        28-12020      865         0     135
ISHARES TR                     S&P NA NAT RES 464287374         30,000      1,200       X        28-12020     1200         0       0
ISHARES TR                     S&P LTN AM 40  464287390        127,000      4,989       X        28-12020     4989         0       0
ISHARES TR                     S&P 500 VALUE  464287408     15,151,000    335,354       X        28-12020   327325         0    8029
ISHARES TR                     BARCLYS 20+ YR 464287432        266,000      2,225       X        28-12020     2225         0       0
ISHARES TR                     BARCLYS
                               7-10 YR        464287440        224,000      2,278       X        28-12020     2278         0       0
ISHARES TR                     BARCLYS 1-3 YR 464287457      8,649,000    102,165       X        28-12020   101143         0    1022
ISHARES TR                     MSCI EAFE IDX  464287465    172,216,000  3,838,976       X        28-12020  3734182         0  104794
ISHARES TR                     RUSSELL MCP VL 464287473      7,237,000    254,469       X        28-12020   233619         0   20850
ISHARES TR                     RUSSELL MCP GR 464287481      3,992,000    127,638       X        28-12020   120962         0    6676
ISHARES TR                     RUSSELL MIDCAP 464287499     36,022,000    603,165       X        28-12020   589034         0   14131







PAGE 332 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 MIDCAP 400 464287507        519,000      9,728       X        28-12020     9728         0       0
ISHARES TR                     S&P NA TECH FD 464287549        297,000      8,851       X        28-12020     8851         0       0
ISHARES TR                     NASDQ BIO INDX 464287556     36,624,000    515,458       X        28-12020   501967         0   13491
ISHARES TR                     COHEN&ST RLTY  464287564         65,000      1,479       X        28-12020     1479         0       0
ISHARES TR                     RUSSELL1000VAL 464287598      4,680,000     94,507       X        28-12020    94007         0     500
ISHARES TR                     S&P MC 400 GRW 464287606        361,000      6,505       X        28-12020     6505         0       0
ISHARES TR                     RUSSELL1000GRW 464287614     18,539,000    500,227       X        28-12020   499061         0    1166
ISHARES TR                     RUSSELL 1000   464287622     13,465,000    275,528       X        28-12020   272273         0    3255
ISHARES TR                     RUSL 2000 VALU 464287630     26,623,000    541,427       X        28-12020   532901         0    8526
ISHARES TR                     RUSL 2000 GROW 464287648     23,218,000    456,499       X        28-12020   454135         0    2364
ISHARES TR                     RUSSELL 2000   464287655    175,968,000  3,573,683       X        28-12020  3490364         0   83319
ISHARES TR                     RUSSELL 3000   464287689         55,000      1,060       X        28-12020     1060         0       0
ISHARES TR                     DJ US UTILS    464287697         48,000        685       X        28-12020      685         0       0
ISHARES TR                     S&P MIDCP VALU 464287705        188,000      3,745       X        28-12020     3745         0       0
ISHARES TR                     DJ US TELECOMM 464287713      7,873,000    477,776       X        28-12020   466925         0   10851
ISHARES TR                     DJ US TECH SEC 464287721         42,000      1,185       X        28-12020     1185         0       0
ISHARES TR                     DJ US REAL EST 464287739        116,000      3,124       X        28-12020     3124         0       0
ISHARES TR                     DJ US HEALTHCR 464287762        257,000      4,800       X        28-12020     4800         0       0
ISHARES TR                     DJ US FINL SEC 464287788        239,000      5,277       X        28-12020     5277         0       0
ISHARES TR                     DJ US ENERGY   464287796        312,000     11,000       X        28-12020    11000         0       0
ISHARES TR                     S&P SMLCAP 600 464287804     10,512,000    239,052       X        28-12020   238298         0     754
ISHARES TR                     DJ US INDEX FD 464287846         12,000        274       X        28-12020      274         0       0
ISHARES TR                     S&P EURO PLUS  464287861         44,000      1,412       X        28-12020     1412         0       0
ISHARES TR                     S&P SMLCP VALU 464287879         84,000      1,725       X        28-12020     1725         0       0
ISHARES TR                     S&P SMLCP GROW 464287887        150,000      3,375       X        28-12020     3375         0       0
ISHARES TR                     S&P GLO INFRAS 464288356          6,000        200       X        28-12020      200         0       0
ISHARES TR                     HIGH YLD CORP  464288513         19,000        250       X        28-12020      250         0       0
ISHARES TR                     KLD 400 IDX FD 464288570         45,000      1,350       X        28-12020     1350         0       0
ISHARES TR                     BARCLYS
                               1-3YR CR       464288588     18,570,000    181,195       X        28-12020   180323         0     872
ISHARES TR                     US PFD STK IDX 464288687         16,000        550       X        28-12020      550         0       0
ISHARES TR                     KLD SL SOC INX 464288802         39,000      1,005       X        28-12020        0         0    1005







PAGE 333 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 OIL&GAS EXP 464288851         18,000        465       X        28-12020      465         0       0
ISHARES TR                     MSCI VAL IDX   464288877     10,547,000    260,100       X        28-12020   260100         0       0
ISIS PHARMACEUTICALS IN C      COM            464330109        315,000     22,199       X        28-12020    21199         0    1000
ITC HLDGS CORP                 COM            465685105      1,167,000     26,718       X        28-12020     9718         0   17000
ITRON INC                      COM            465741106        114,000      1,783       X        28-12020     1783         0       0
J & J SNACK FOODS CORP         COM            466032109         15,000        427       X        28-12020      427         0       0
JABIL CIRCUIT INC              COM            466313103         97,000     14,437       X        28-12020    13637         0     800
JACK IN THE BOX INC            COM            466367109         12,000        548       X        28-12020      548         0       0
JACKSON HEWITT TAX SVCS INC    COM            468202106         15,000        946       X        28-12020      946         0       0
JACOBS ENGR GROUP INC D E L    COM            469814107     41,397,000    860,665       X        28-12020   841855         0   18810
JAMES RIVER COAL CO            COM NEW        470355207          5,000        322       X        28-12020      322         0       0
JARDEN CORP                    COM            471109108          9,000        775       X        28-12020      775         0       0
JEFFERIES GROUP INC NEW        COM            472319102         20,000      1,406       X        28-12020     1406         0       0
JETBLUE AIRWAYS CORP           COM            477143101         12,000      1,738       X        28-12020     1738         0       0
JOHN BEAN TECHNOLOGIES CORP    COM            477839104          4,000        439       X        28-12020      439         0       0
JOHNSON & JOHNSON              COM            478160104    122,386,000  2,045,577       X        28-12020  1883505         0  161402
JOHNSON & JOHNSON              COM            478160104      1,643,000      3,100       X        28-12020     3100         0       0
JOHNSON CTLS INC               COM            478366107     19,047,000  1,048,870       X        28-12020  1026991         0   21879
JONES APPAREL GROUP INC        COM            480074103         25,000      4,321       X        28-12020     4321         0       0
JOS A BANK CLOTHIERS IN C      COM            480838101        176,000      6,718       X        28-12020     6718         0       0
JOURNAL COMMUNICATIONS INC     CL A           481130102              0         81       X        28-12020       81         0       0
JOY GLOBAL INC                 COM            481165108     14,497,000    633,371       X        28-12020   620732         0   12639
KBW INC                        COM            482423100          2,000        100       X        28-12020      100         0       0
KLA-TENCOR CORP                COM            482480100      2,057,000     94,351       X        28-12020    94351         0       0
K V PHARMACEUTICAL CO          CL A           482740206          3,000        908       X        28-12020      908         0       0
KAISER ALUMINUM CORP           COM PAR $0.01  483007704          8,000        314       X        28-12020      314         0       0
KAMAN CORP                     COM            483548103          2,000        129       X        28-12020      129         0       0
KANSAS CITY LIFE INS CO        COM            484836101          9,000        219       X        28-12020      219         0       0
KANSAS CITY SOUTHERN           COM NEW        485170302         45,000      2,351       X        28-12020     2351         0       0
KAYDON CORP                    COM            486587108         37,000      1,086       X        28-12020      286         0     800
KAYNE ANDERSON MLP INVS MNT C  COM            486606106         13,000        809       X        28-12020      809         0       0







PAGE 334 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KELLOGG CO                     COM            487836108      3,711,000     84,630       X        28-12020    84524         0     106
KELLY SVCS INC                 CL A           488152208         74,000      5,626       X        28-12020     5626         0       0
KELLY SVCS INC                 CL B           488152307         11,000        858       X        28-12020      858         0       0
KENNAMETAL INC                 COM            489170100        770,000     34,699       X        28-12020    29199         0       0
KENT FINL SVCS INC             COM NEW        490560208              0         38       X        28-12020       38         0       0
KEY ENERGY SVCS INC            COM            492914106          5,000      1,130       X        28-12020     1130         0       0
KEYCORP NEW                    COM            493267108      2,854,000    334,988       X        28-12020   323578         0   11410
KEYCORP NEW                    COM            493267108      5,280,000      6,000       X        28-12020     6000         0       0
KFORCE INC                     COM            493732101          9,000      1,184       X        28-12020     1184         0       0
KIMBALL INTL INC               CL B           494274103         29,000      3,338       X        28-12020     3338         0       0
KIMBERLY CLARK CORP            COM            494368103     14,166,000    268,587       X        28-12020   259393         0    9194
KINDER MORGAN ENERGY PA RTNER  UT LTD PARTNER 494550106      1,415,000     30,929       X        28-12020    28829         0    2100
KINDRED HEALTHCARE INC         COM            494580103          7,000        571       X        28-12020      571         0       0
KING PHARMACEUTICALS IN C      COM            495582108        335,000     31,557       X        28-12020    31557         0       0
KIRBY CORP                     COM            497266106         27,000        982       X        28-12020      982         0       0
KNOLL INC                      COM NEW        498904200        380,000     42,206       X        28-12020    36206         0       0
KNIGHT CAPITAL GROUP IN C      CL A           499005106      1,740,000    107,719       X        28-12020   107719         0       0
KNIGHT TRANSN INC              COM            499064103        354,000     21,944       X        28-12020    20777         0    1167
KOHLS CORP                     COM            500255104      2,615,000     72,246       X        28-12020    68296         0    3950
KONINKLIJKE PHILIPS ELE CTRS   NY REG SH NEW  500472303          3,000        150       X        28-12020      150         0       0
KOREA ELECTRIC PWR             SPONSORED ADR  500631106          3,000        217       X        28-12020      217         0       0
KORN FERRY INTL                COM NEW        500643200          3,000        262       X        28-12020      262         0       0
KROGER CO                      COM            501044101     48,233,000  1,826,281       X        28-12020  1769192         0   57089
KULICKE & SOFFA INDS IN C      COM            501242101              0        109       X        28-12020      109         0       0
LAN AIRLINES S A               SPONSORED ADR  501723100          2,000        300       X        28-12020      300         0       0
LKQ CORP                       COM            501889208         19,000      1,663       X        28-12020     1663         0       0
LNB BANCORP INC                COM            502100100         27,000      5,109       X        28-12020     2109         0    3000
LSB INDS INC                   COM            502160104          5,000        652       X        28-12020      652         0       0
LSI CORPORATION                COM            502161102        137,000     41,562       X        28-12020    35788         0    5774
LTC PPTYS INC                  COM            502175102      1,428,000     70,432       X        28-12020    67332         0       0
L-3 COMMUNICATIONS HLDG S INC  COM            502424104      2,491,000     33,767       X        28-12020    33073         0     694







PAGE 335 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LABRANCHE & CO INC             COM            505447102              0         16       X        28-12020       16         0       0
LACLEDE GROUP INC              COM            505597104      1,600,000     34,161       X        28-12020    34161         0       0
LAM RESEARCH CORP              COM            512807108        311,000     14,602       X        28-12020    14602         0       0
LAMAR ADVERTISING CO           CL A           512815101         14,000      1,115       X        28-12020     1115         0       0
LANCE INC                      COM            514606102          1,000         36       X        28-12020       36         0       0
LANDEC CORP                    COM            514766104         26,000      4,000       X        28-12020        0         0    4000
LANDSTAR SYS INC               COM            515098101         37,000        954       X        28-12020      954         0       0
LAS VEGAS SANDS CORP           COM            517834107         24,000      4,044       X        28-12020     4044         0       0
LASALLE HOTEL PPTYS            COM SH BEN INT 517942108          9,000        770       X        28-12020      770         0       0
LAUDER ESTEE COS INC           CL A           518439104        670,000     21,624       X        28-12020    21524         0     100
LAYNE CHRISTENSEN CO           COM            521050104        204,000      8,500       X        28-12020     8500         0       0
LEAP WIRELESS INTL INC         COM NEW        521863308         21,000        765       X        28-12020      765         0       0
LEAR CORP                      COM            521865105          2,000      1,572       X        28-12020     1572         0       0
LECG CORP                      COM            523234102          2,000        311       X        28-12020      311         0       0
LEE ENTERPRISES INC            COM            523768109              0      1,196       X        28-12020     1196         0       0
LEGGETT & PLATT INC            COM            524660107        110,000      7,231       X        28-12020     7231         0       0
LEGG MASON INC                 COM            524901105      1,740,000     79,442       X        28-12020    78472         0     970
LEHMAN BROS HLDGS INC COM DELE ED             524908100              0      1,983       X        28-12020      285         0    1698
LENNAR CORP                    CL A           526057104        149,000     17,225       X        28-12020    17225         0       0
LENNAR CORP                    CL B           526057302          1,000        148       X        28-12020      148         0       0
LENNOX INTL INC                COM            526107107      1,450,000     44,919       X        28-12020    39519         0       0
LEUCADIA NATL CORP             COM            527288104        362,000     18,311       X        28-12020    18311         0       0
LEXICON PHARMACEUTICALS INC    COM            528872104          2,000      1,150       X        28-12020     1150         0       0
LEXINGTON REALTY TRUST         COM            529043101          7,000      1,359       X        28-12020     1359         0       0
LEXMARK INTL NEW               CL A           529771107      9,843,000    365,907       X        28-12020   365907         0       0
LIBERTY GLOBAL INC             COM SER A      530555101         88,000      5,545       X        28-12020     5545         0       0
LIBERTY GLOBAL INC             COM SER C      530555309          8,000        500       X        28-12020      500         0       0
LIBERTY PPTY TR                SH BEN INT     531172104         62,000      2,672       X        28-12020     2672         0       0
LIHIR GOLD LTD                 SPONSORED ADR  532349107          1,000         64       X        28-12020       64         0       0
LILLY ELI & CO                 COM            532457108    127,364,000  3,162,754       X        28-12020  3123674         0   39080
LILLY ELI & CO                 COM            532457108    401,840,000    920,000       X        28-12020   920000         0       0







PAGE 336 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LIMITED BRANDS INC             COM            532716107        190,000     18,844       X        28-12020    18844         0       0
LIN TV CORP                    CL A           532774106          1,000        887       X        28-12020      887         0       0
LINCARE HLDGS INC              COM            532791100        492,000     18,286       X        28-12020    18286         0       0
LINCOLN BANCORP IND            COM            532879103         19,000      1,250       X        28-12020     1250         0       0
LINCOLN ELEC HLDGS INC         COM            533900106      6,572,000    129,050       X        28-12020   129050         0       0
LINCOLN NATL CORP IND          COM            534187109      6,556,000    347,998       X        28-12020   347013         0     985
LINCOLN NATL CORP IND          COM            534187109     71,034,000     27,700       X        28-12020    27700         0       0
LINEAR TECHNOLOGY CORP         COM            535678106        433,000     19,567       X        28-12020    19567         0       0
LINN ENERGY LLC                UNIT LTD LIAB  536020100          6,000        400       X        28-12020      400         0       0
LITTELFUSE INC                 COM            537008104          9,000        515       X        28-12020      515         0       0
LIVE NATION INC                COM            538034109          4,000        733       X        28-12020      733         0       0
LIZ CLAIBORNE INC              COM            539320101          6,000      2,220       X        28-12020     1620         0     600
LLOYDS TSB GROUP PLC           SPONSORED ADR  539439109          4,000        500       X        28-12020      500         0       0
LOCKHEED MARTIN CORP           COM            539830109     25,596,000    304,423       X        28-12020   291154         0   13069
LOEWS CORP                     COM            540424108     12,054,000    426,716       X        28-12020   423396         0    2220
LOOPNET INC                    COM            543524300          2,000        305       X        28-12020      305         0       0
LORILLARD INC                  COM            544147101      9,863,000    175,031       X        28-12020   174976         0      55
LOUISIANA PAC CORP             COM            546347105        524,000    336,105       X        28-12020   336105         0       0
LOWES COS INC                  COM            548661107      7,896,000    366,914       X        28-12020   364320         0    2594
LUBRIZOL CORP                  COM            549271104      3,394,000     93,277       X        28-12020    92669         0     608
LUBYS INC                      COM            549282101          8,000      2,000       X        28-12020     2000         0       0
LUFKIN INDS INC                COM            549764108        497,000     14,414       X        28-12020    14414         0       0
LULULEMON ATHLETICA INC        COM            550021109          1,000        100       X        28-12020      100         0       0
M & F WORLDWIDE CORP           COM            552541104          3,000        212       X        28-12020      212         0       0
M D C HLDGS INC                COM            552676108         14,000        468       X        28-12020      468         0       0
MDU RES GROUP INC              COM            552690109      6,008,000    278,423       X        28-12020   264923         0   13500
MEMC ELECTR MATLS INC          COM            552715104        157,000     11,022       X        28-12020    11022         0       0
MFS CHARTER INCOME TR          SH BEN INT     552727109         15,000      2,100       X        28-12020     2100         0       0
MFS MUN INCOME TR              SH BEN INT     552738106         93,000     23,080       X        28-12020    23080         0       0
MGIC INVT CORP WIS             COM            552848103          5,000      1,343       X        28-12020     1343         0       0
MFS GOVT MKTS INCOME TR        SH BEN INT     552939100          1,000         81       X        28-12020       81         0       0







PAGE 337 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MGM MIRAGE                     COM            552953101         23,000      1,691       X        28-12020     1691         0       0
MPS GROUP INC                  COM            553409103        352,000     46,685       X        28-12020    38485         0       0
MSC INDL DIRECT INC            CL A           553530106         30,000        813       X        28-12020      813         0       0
MSC SOFTWARE CORP              COM            553531104          1,000        141       X        28-12020      141         0       0
MTS SYS CORP                   COM            553777103          2,000         64       X        28-12020       64         0       0
MACATAWA BK CORP               COM            554225102         25,000      7,300       X        28-12020     7300         0       0
MACERICH CO                    COM            554382101         20,000      1,093       X        28-12020     1093         0       0
MACK CALI RLTY CORP            COM            554489104         19,000        770       X        28-12020      770         0       0
MADDEN STEVEN LTD              COM            556269108        305,000     14,300       X        28-12020    14300         0       0
MADISON CLAYMORE CALL & EQTY   COM            556582104          4,000        720       X        28-12020      720         0       0
MAGELLAN HEALTH SVCS IN C      COM NEW        559079207         16,000        404       X        28-12020      404         0       0
MAGNA INTL INC                 CL A           559222401          2,000         65       X        28-12020       65         0       0
MAGUIRE PPTYS INC              COM            559775101          1,000        904       X        28-12020      904         0       0
MAIDENFORM BRANDS INC          COM            560305104          9,000        889       X        28-12020      889         0       0
MANHATTAN ASSOCS INC           COM            562750109          2,000        106       X        28-12020      106         0       0
MANITOWOC INC                  COM            563571108        140,000     16,140       X        28-12020    14740         0    1400
MANTECH INTL CORP              CL A           564563104      2,194,000     40,478       X        28-12020    35278         0       0
MARATHON OIL CORP              COM            565849106     52,848,000  1,931,578       X        28-12020  1865007         0   66571
MARCUS CORP                    COM            566330106              0         23       X        28-12020       23         0       0
MARINE PRODS CORP              COM            568427108          5,000        976       X        28-12020      976         0       0
MARKEL CORP                    COM            570535104         49,000        163       X        28-12020      163         0       0
MARSH & MCLENNAN COS IN C      COM            571748102     19,972,000    822,920       X        28-12020   811125         0   11795
MARSHALL & ILSLEY CORP NEW     COM            571837103        426,000     31,167       X        28-12020    31167         0       0
MARRIOTT INTL INC NEW          CL A           571903202        400,000     20,541       X        28-12020    20541         0       0
MARTEK BIOSCIENCES CORP        COM            572901106        180,000      5,946       X        28-12020     5946         0       0
MARTHA STEWART LIVING O MNIME  CL A           573083102          1,000        300       X        28-12020      300         0       0
MARTIN MARIETTA MATLS I N C    COM            573284106        112,000      1,153       X        28-12020     1153         0       0
MARTIN MIDSTREAM PRTNRS L P    UNIT L P INT   573331105          3,000        200       X        28-12020      200         0       0
MASCO CORP                     COM            574599106        842,000     75,745       X        28-12020    73930         0    1815
MASIMO CORP                    COM            574795100        591,000     19,800       X        28-12020    19800         0       0
MASSACHUSETTS HEALTH & ED TX   SH BEN INT     575672100          9,000      1,100       X        28-12020     1100         0       0







PAGE 338 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MASSEY ENERGY CORP             COM            576206106         95,000      6,831       X        28-12020     6831         0       0
MASSMUTUAL PARTN INVS          SH BEN INT     576299101          7,000        800       X        28-12020      800         0       0
MATRIX SVC CO                  COM            576853105              0         61       X        28-12020       61         0       0
MATTEL INC                     COM            577081102        408,000     25,492       X        28-12020    22812         0    2680
MATTHEWS INTL CORP             CL A           577128101        697,000     19,013       X        28-12020    19013         0       0
MATTSON TECHNOLOGY INC         COM            577223100              0         99       X        28-12020       99         0       0
MAXYGEN INC                    COM            577776107         98,000     11,000       X        28-12020        0         0   11000
MAXXAM INC                     COM            577913106              0          1       X        28-12020        1         0       0
MAXIMUS INC                    COM            577933104         18,000        499       X        28-12020      499         0       0
MBT FINL CORP                  COM            578877102          5,000      1,725       X        28-12020     1725         0       0
MCAFEE INC                     COM            579064106      5,691,000    164,619       X        28-12020   164619         0       0
MCCLATCHY CO                   CL A           579489105              0        466       X        28-12020      466         0       0
MCCORMICK & CO INC             COM NON VTG    579780206        349,000     10,930       X        28-12020     9510         0    1420
MCDERMOTT INTL INC             COM            580037109         42,000      4,207       X        28-12020     4207         0       0
MCDONALDS CORP                 COM            580135101     75,944,000  1,221,178       X        28-12020  1167057         0   53751
MCGRAW HILL COS INC            COM            580645109      9,864,000    425,395       X        28-12020   395245         0   30150
MCMORAN EXPLORATION CO         COM            582411104          8,000        830       X        28-12020      830         0       0
MEADWESTVACO CORP              COM            583334107      1,573,000    140,622       X        28-12020   140622         0       0
MEDAREX INC                    COM            583916101          5,000        860       X        28-12020      860         0       0
MEDIA GEN INC                  CL A           584404107          2,000      1,052       X        28-12020     1052         0       0
MEDICINES CO                   COM            584688105          5,000        362       X        28-12020      362         0       0
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309         14,000      1,036       X        28-12020     1036         0       0
MEDTRONIC INC                  COM            585055106     15,882,000    505,496       X        28-12020   499477         0    6019
MENS WEARHOUSE INC             COM            587118100          7,000        534       X        28-12020      534         0       0
MENTOR CORP MINN               COM            587188103         89,000      2,894       X        28-12020     2894         0       0
MENTOR GRAPHICS CORP           COM            587200106          2,000        308       X        28-12020      308         0       0
MERCK & CO INC                 COM            589331107     61,354,000  2,018,192       X        28-12020  1887356         0  130836
MERCK & CO INC                 COM            589331107      1,410,000      3,000       X        28-12020     3000         0       0
MERCURY COMPUTER SYS           COM            589378108          8,000      1,211       X        28-12020     1211         0       0
MERCURY GENL CORP NEW          COM            589400100         10,000        218       X        28-12020      218         0       0
MEREDITH CORP                  COM            589433101        477,000     28,496       X        28-12020    23596         0       0







PAGE 339 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MERGE HEALTHCARE INC           COM            589499102        110,000     86,000       X        28-12020    80000         0    6000
MERIDIAN BIOSCIENCE INC        COM            589584101        158,000      6,226       X        28-12020     6226         0       0
MERIT MED SYS INC              COM            589889104        657,000     36,617       X        28-12020    36617         0       0
MERRILL LYNCH & CO INC         COM            590188108      1,889,000    162,310       X        28-12020   155687         0    6623
MESABI TR                      CTF BEN INT    590672101        329,000     38,000       X        28-12020    38000         0       0
METABOLIX INC                  COM            591018809          4,000        331       X        28-12020      331         0       0
METALICO INC                   COM            591176102          1,000        500       X        28-12020      500         0       0
METAVANTE TECHNOLOGIES INC     COM            591407101        198,000     12,323       X        28-12020    12323         0       0
METHODE ELECTRS INC            COM            591520200         53,000      7,890       X        28-12020     7890         0       0
METROPCS COMMUNICATIONS INC    COM            591708102        365,000     24,548       X        28-12020    24548         0       0
METTLER TOLEDO INTERNAT IONAL  COM            592688105        146,000      2,166       X        28-12020     2166         0       0
MEXICO FD INC                  COM            592835102        110,000      7,236       X        28-12020     7236         0       0
MICREL INC                     COM            594793101          1,000        116       X        28-12020      116         0       0
MICROS SYS INC                 COM            594901100        309,000     18,930       X        28-12020    18930         0       0
MICROSOFT CORP                 COM            594918104    146,746,000  7,548,644       X        28-12020  7343093         0  203851
MICROCHIP TECHNOLOGY IN C      COM            595017104      8,545,000    437,537       X        28-12020   428702         0    7685
MICRON TECHNOLOGY INC          COM            595112103        101,000     38,122       X        28-12020    38122         0       0
MICROSEMI CORP                 COM            595137100         10,000        791       X        28-12020      791         0       0
MIDAS GROUP INC                COM            595626102          8,000        789       X        28-12020      789         0       0
MIDCAP SPDR TR                 UNIT SER 1     595635103     11,504,000    118,406       X        28-12020   118406         0       0
MIDDLEBY CORP                  COM            596278101         28,000      1,040       X        28-12020     1040         0       0
MILLER HERMAN INC              COM            600544100         15,000      1,140       X        28-12020     1140         0       0
MILLIPORE CORP                 COM            601073109        177,000      3,423       X        28-12020     3423         0       0
MINDSPEED TECHNOLOGIES INC     COM NEW        602682205              0         30       X        28-12020       30         0       0
MINE SAFETY APPLIANCES CO      COM            602720104         88,000      3,663       X        28-12020     3663         0       0
MINERALS TECHNOLOGIES I N C    COM            603158106         16,000        389       X        28-12020      389         0       0
MIPS TECHNOLOGIES INC          COM            604567107              0         33       X        28-12020       33         0       0
MITCHAM INDS INC               COM            606501104         55,000     13,781       X        28-12020    13781         0       0
MITSUBISHI UFJ FINL GRO UP IN  SPONSORED ADR  606822104        605,000     97,457       X        28-12020    94957         0    2500
MITSUI & CO LTD                ADR            606827202          5,000         26       X        28-12020       26         0       0
MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109         19,000        700       X        28-12020      700         0       0







PAGE 340 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MOHAWK INDS INC                COM            608190104        768,000     17,894       X        28-12020    15288         0    2606
MOLEX INC                      COM            608554101        220,000     15,157       X        28-12020    15157         0       0
MOLEX INC                      CL A           608554200        115,000      8,918       X        28-12020     8918         0       0
MONARCH CASINO & RESORT INC    COM            609027107          8,000        714       X        28-12020      714         0       0
MONOLITHIC PWR SYS INC         COM            609839105              0         21       X        28-12020       21         0       0
MONRO MUFFLER BRAKE INC        COM            610236101        184,000      7,222       X        28-12020     7222         0       0
MONSTER WORLDWIDE INC          COM            611742107         85,000      6,977       X        28-12020     6766         0     211
MONTGOMERY STR INCOME S ECS I  COM            614115103         35,000      2,500       X        28-12020     2500         0       0
MOODYS CORP                    COM            615369105      1,599,000     79,665       X        28-12020    75365         0    4300
MOOG INC                       CL A           615394202         29,000        788       X        28-12020      788         0       0
MORGAN STANLEY                 COM NEW        617446448     12,473,000    777,618       X        28-12020   744425         0   33193
MORNINGSTAR INC                COM            617700109         65,000      1,812       X        28-12020     1812         0       0
MOTOROLA INC                   COM            620076109        888,000    200,525       X        28-12020   195425         0    5100
MOVADO GROUP INC               COM            624580106        366,000     38,928       X        28-12020    32228         0       0
MUELLER INDS INC               COM            624756102        741,000     29,550       X        28-12020    25750         0       0
MUELLER WTR PRODS INC          COM SER A      624758108         23,000      2,732       X        28-12020     2732         0       0
MULTI COLOR CORP               COM            625383104        105,000      6,657       X        28-12020     6657         0       0
MURPHY OIL CORP                COM            626717102        736,000     16,598       X        28-12020    16484         0     114
MYERS INDS INC                 COM            628464109      4,196,000    524,456       X        28-12020   524456         0       0
MYLAN INC                      COM            628530107        404,000     40,931       X        28-12020    38681         0    2250
NBT BANCORP INC                COM            628778102      1,009,000     36,074       X        28-12020    32074         0       0
NBTY INC                       COM            628782104        476,000     30,418       X        28-12020    25018         0       0
NCI BUILDING SYS INC           COM            628852105        344,000     21,081       X        28-12020    17181         0       0
NDS GROUP PLC                  SPONSORED ADR  628891103        240,000      4,177       X        28-12020     4177         0       0
NASB FINL INC                  COM            628968109          8,000        302       X        28-12020      302         0       0
NRG ENERGY INC                 COM NEW        629377508      2,173,000     93,158       X        28-12020    93158         0       0
NVE CORP                       COM NEW        629445206        316,000     12,075       X        28-12020    12075         0       0
NYSE EURONEXT                  COM            629491101      1,176,000     42,957       X        28-12020    42957         0       0
NACCO INDS INC                 CL A           629579103      3,609,000     96,476       X        28-12020    64476         0   32000
NASDAQ OMX GROUP INC           COM            631103108      7,257,000    293,708       X        28-12020   293708         0       0
NASH FINCH CO                  COM            631158102      3,208,000     71,456       X        28-12020    66156         0       0







PAGE 341 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 BANKSHARES INC VA     COM            634865109        195,000     10,000       X        28-12020    10000         0       0
NATIONAL CINEMEDIA INC         COM            635309107          3,000        309       X        28-12020      309         0       0
NATIONAL CITY CORP             COM            635405103     29,509,000 16,303,335       X        28-12020  9889282         0 6414053
NATIONAL CITY CORP             COM            635405103    137,890,000    519,000       X        28-12020   519000         0       0
NATIONAL FUEL GAS CO N J       COM            636180101        300,000      9,562       X        28-12020     8462         0    1100
NATIONAL GRID PLC              SPON ADR NEW   636274300         64,000      1,266       X        28-12020     1266         0       0
NATIONAL INSTRS CORP           COM            636518102         14,000        589       X        28-12020      589         0       0
NATIONAL OILWELL VARCO INC     COM            637071101     17,349,000    709,878       X        28-12020   677199         0   32489
NATIONAL PENN BANCSHARE S INC  COM            637138108        627,000     43,178       X        28-12020    37131         0       0
NATIONAL PRESTO INDS IN C      COM            637215104        497,000      6,451       X        28-12020     6451         0       0
NATIONAL RETAIL PROPERT IES I  COM            637417106        396,000     23,049       X        28-12020    19049         0       0
NATIONAL SEMICONDUCTOR CORP    COM            637640103        100,000      9,959       X        28-12020     9959         0       0
NATIONAL WESTN LIFE INS CO     CL A           638522102        393,000      2,324       X        28-12020     1924         0       0
NATIONWIDE FINL SVCS IN C      CL A           638612101        105,000      1,999       X        28-12020     1999         0       0
NATIONWIDE HEALTH PPTYS INC    COM            638620104      1,954,000     68,045       X        28-12020    68045         0       0
NAVIGATORS GROUP INC           COM            638904102      1,756,000     31,985       X        28-12020    27885         0       0
NATUS MEDICAL INC DEL          COM            639050103          7,000        528       X        28-12020      528         0       0
NEENAH PAPER INC               COM            640079109          1,000        100       X        28-12020      100         0       0
NEOGEN CORP                    COM            640491106        987,000     39,500       X        28-12020    39500         0       0
NEOSE TECHNOLOGIES INC         COM            640522108              0        900       X        28-12020        0         0     900
NEW GERMANY FD INC             COM            644465106          8,000      1,000       X        28-12020     1000         0       0
NEW JERSEY RES                 COM            646025106         75,000      1,921       X        28-12020      798         0    1123
NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107     10,897,000    198,447       X        28-12020   196787         0    1100
NEW YORK CMNTY BANCORP INC     COM            649445103         66,000      5,508       X        28-12020     5508         0       0
NEW YORK TIMES CO              CL A           650111107         44,000      5,969       X        28-12020     5969         0       0
NEWALLIANCE BANCSHARES INC     COM            650203102        339,000     25,751       X        28-12020    25751         0       0
NEWELL RUBBERMAID INC          COM            651229106        438,000     44,733       X        28-12020    44733         0       0
NEWFIELD EXPL CO               COM            651290108         35,000      1,751       X        28-12020     1751         0       0
NEWMARKET CORP                 COM            651587107         14,000        400       X        28-12020      400         0       0
NEWMONT MINING CORP            COM            651639106      1,425,000     34,996       X        28-12020    31791         0    3205
NEWPORT CORP                   COM            651824104          4,000        610       X        28-12020      610         0       0







PAGE 342 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NICE SYS LTD                   SPONSORED ADR  653656108      1,065,000     47,400       X        28-12020    47400         0       0
NICOR INC                      COM            654086107        134,000      3,859       X        28-12020     3859         0       0
NIKE INC                       CL B           654106103     32,556,000    638,335       X        28-12020   619743         0   17922
NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105         26,000        963       X        28-12020      963         0       0
NISSAN MOTORS                  SPONSORED ADR  654744408         35,000      4,842       X        28-12020     4842         0       0
NOKIA CORP                     SPONSORED ADR  654902204     60,717,000  3,892,064       X        28-12020  3786047         0  106017
NOBLE ENERGY INC               COM            655044105        496,000     10,067       X        28-12020     9467         0     600
NORDSON CORP                   COM            655663102      2,450,000     75,858       X        28-12020    75858         0       0
NORDSTROM INC                  COM            655664100      1,356,000    101,878       X        28-12020   101378         0     500
NORFOLK SOUTHERN CORP          COM            655844108     13,160,000    279,714       X        28-12020   275114         0    4600
NORTEL NETWORKS CORP NE W      COM NEW        656568508              0        628       X        28-12020      611         0      17
NORTHEAST UTILS                COM            664397106        149,000      6,174       X        28-12020     5174         0    1000
NORTHERN TR CORP               COM            665859104     13,468,000    258,315       X        28-12020   254265         0    4050
NORTHFIELD LABS INC            COM            666135108              0        400       X        28-12020      400         0       0
NORTHGATE MINERALS CORP        COM            666416102      1,706,000  2,055,371       X        28-12020  2055371         0       0
NORTHROP GRUMMAN CORP          COM            666807102      8,795,000    195,265       X        28-12020   190431         0    4834
NORTHWEST BANCORP INC P A      COM            667328108        301,000     14,071       X        28-12020    14071         0       0
NORTHWEST NAT GAS CO           COM            667655104      1,172,000     26,500       X        28-12020    22000         0       0
NORTHWEST PIPE CO              COM            667746101         15,000        356       X        28-12020      356         0       0
NORTHWESTERN CORP              COM NEW        668074305        667,000     28,403       X        28-12020    25503         0       0
NOVELL INC                     COM            670006105         51,000     13,015       X        28-12020    12878         0     137
NOVELLUS SYS INC               COM            670008101         63,000      5,107       X        28-12020     5107         0       0
NOVEN PHARMACEUTICALS I N C    COM            670009109         13,000      1,200       X        28-12020        0         0    1200
NUCOR CORP                     COM            670346105      1,887,000     40,853       X        28-12020    39853         0    1000
NUVEEN TAX FREE ADV MUN FD     COM            670657105          9,000        872       X        28-12020      872         0       0
NUVASIVE INC                   COM            670704105      4,150,000    119,748       X        28-12020   119748         0       0
O CHARLEYS INC                 COM            670823103        261,000    130,557       X        28-12020   130557         0       0
OGE ENERGY CORP                COM            670837103        158,000      6,101       X        28-12020     6101         0       0
OM GROUP INC                   COM            670872100        675,000     31,974       X        28-12020    27674         0       0
NUVEEN MUN VALUE FD INC        COM            670928100        114,000     13,220       X        28-12020    13220         0       0
NUVEEN PA INVT QUALITY MUN F   COM            670972108        290,000     31,496       X        28-12020    30496         0    1000







PAGE 343 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 SELECT QUALITY M UN FD  COM            670973106          5,000        500       X        28-12020        0         0     500
NUVEEN QUALITY INCOME M UN FD  COM            670977107         23,000      2,000       X        28-12020     2000         0       0
NUVEEN FLA QUALITY INCO ME MU  COM            670978105         32,000      3,333       X        28-12020     3333         0       0
NUVEEN MICH QUALITY INC OME M  COM            670979103         61,000      6,289       X        28-12020     6289         0       0
NUVEEN OHIO QUALITY INC OME M  COM            670980101        163,000     13,282       X        28-12020    13282         0       0
NUVEEN INSD MUN OPPORTU NITY   COM            670984103        122,000     11,400       X        28-12020    11400         0       0
NUVEEN PREMIER MUN INCO ME FD  COM            670988104         19,000      1,922       X        28-12020      300         0    1622
OSI PHARMACEUTICALS INC        COM            671040103        451,000     11,548       X        28-12020    11548         0       0
OSI SYSTEMS INC                COM            671044105      1,650,000    119,150       X        28-12020   119150         0       0
OYO GEOSPACE CORP              COM            671074102         10,000        606       X        28-12020      606         0       0
OCCIDENTAL PETE CORP DE L      COM            674599105     73,667,000  1,228,014       X        28-12020  1193160         0   34854
OCEANEERING INTL INC           COM            675232102        268,000      9,193       X        28-12020     7693         0       0
OCWEN FINL CORP                COM NEW        675746309         27,000      2,887       X        28-12020     2887         0       0
OFFICE DEPOT INC               COM            676220106        489,000    164,152       X        28-12020   164152         0       0
OIL STS INTL INC               COM            678026105      2,090,000    111,848       X        28-12020   111848         0       0
OILSANDS QUEST INC             COM            678046103          7,000     10,000       X        28-12020    10000         0       0
OLD NATL BANCORP IND           COM            680033107      1,634,000     89,969       X        28-12020    14100         0   75869
OLD REP INTL CORP              COM            680223104      2,255,000    189,160       X        28-12020   189160         0       0
OLD SECOND BANCORP INC ILL     COM            680277100         64,000      5,536       X        28-12020     5536         0       0
OLIN CORP                      COM PAR $1     680665205        764,000     42,234       X        28-12020    42234         0       0
OMNICARE INC                   COM            681904108         50,000      1,819       X        28-12020     1819         0       0
OMNICOM GROUP INC              COM            681919106     32,128,000  1,193,565       X        28-12020  1151750         0   41815
OMEGA HEALTHCARE INVS I N C    COM            681936100         27,000      1,698       X        28-12020     1698         0       0
OMEGA FLEX INC                 COM            682095104        335,000     16,000       X        28-12020    16000         0       0
OMNIVISION TECHNOLOGIES INC    COM            682128103          5,000        969       X        28-12020      969         0       0
OMNOVA SOLUTIONS INC           COM            682129101          3,000      5,000       X        28-12020     5000         0       0
ON ASSIGNMENT INC              COM            682159108          1,000        180       X        28-12020      180         0       0
ON SEMICONDUCTOR CORP          COM            682189105         30,000      8,817       X        28-12020     7411         0    1406
ONEOK INC NEW                  COM            682680103        114,000      3,917       X        28-12020     3917         0       0
ONYX PHARMACEUTICALS IN C      COM            683399109         22,000        639       X        28-12020      639         0       0
OPTIONSXPRESS HLDGS INC        COM            684010101         14,000      1,038       X        28-12020     1038         0       0







PAGE 344 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ORBITAL SCIENCES CORP          COM            685564106      1,281,000     65,606       X        28-12020    65606         0       0
O REILLY AUTOMOTIVE INC        COM            686091109      1,372,000     44,618       X        28-12020    44618         0       0
ORIX CORP                      SPONSORED ADR  686330101         10,000        338       X        28-12020      338         0       0
OSHKOSH CORP                   COM            688239201         50,000      5,625       X        28-12020     5625         0       0
OTTER TAIL CORP                COM            689648103         14,000        623       X        28-12020      623         0       0
OVERSEAS SHIPHOLDING GR OUP I  COM            690368105         19,000        461       X        28-12020      461         0       0
OWENS & MINOR INC NEW          COM            690732102      1,179,000     31,313       X        28-12020    29013         0       0
OWENS CORNING NEW              COM            690742101         15,000        823       X        28-12020      823         0       0
OWENS ILL INC                  COM NEW        690768403      6,631,000    242,635       X        28-12020   242635         0       0
OXFORD INDS INC                COM            691497309              0         36       X        28-12020       36         0       0
PHH CORP                       COM NEW        693320202          2,000        142       X        28-12020      142         0       0
PICO HLDGS INC                 COM NEW        693366205         38,000      1,442       X        28-12020     1442         0       0
PMA CAP CORP                   CL A           693419202         18,000      2,485       X        28-12020     2485         0       0
PMC COML TR                    SH BEN INT     693434102          5,000        700       X        28-12020      700         0       0
PNC FINL SVCS GROUP INC        COM            693475105     21,545,000    439,677       X        28-12020   432219         0    7458
PPG INDS INC                   COM            693506107      8,390,000    197,741       X        28-12020   176221         0   21520
PVF CAPITAL CORP               COM            693654105        184,000    103,221       X        28-12020   103221         0       0
PACCAR INC                     COM            693718108        624,000     21,845       X        28-12020    21845         0       0
PACKAGING CORP AMER            COM            695156109      3,001,000    222,931       X        28-12020   222931         0       0
PACTIV CORP                    COM            695257105      6,244,000    250,957       X        28-12020   250813         0     144
PACWEST BANCORP DEL            COM            695263103         11,000        400       X        28-12020      400         0       0
PALL CORP                      COM            696429307        341,000     11,999       X        28-12020    11999         0       0
PALM INC NEW                   COM            696643105          7,000      2,276       X        28-12020     2276         0       0
PALOMAR MED TECHNOLOGIE S INC  COM NEW        697529303          6,000        488       X        28-12020      488         0       0
PAN AMERICAN SILVER COR P      COM            697900108          2,000        100       X        28-12020        0         0     100
PANTRY INC                     COM            698657103        205,000      9,538       X        28-12020     9538         0       0
PAPA JOHNS INTL INC            COM            698813102         80,000      4,334       X        28-12020     4334         0       0
PARALLEL PETE CORP DEL         COM            699157103          2,000      1,223       X        28-12020     1223         0       0
PARAMETRIC TECHNOLOGY C ORP    COM NEW        699173209        253,000     20,033       X        28-12020    20033         0       0
PAREXEL INTL CORP              COM            699462107      1,052,000    108,362       X        28-12020      626         0  107736
PARK ELECTROCHEMICAL CO RP     COM            700416209          1,000         59       X        28-12020       59         0       0







PAGE 345 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PARK NATL CORP                 COM            700658107        135,000      1,882       X        28-12020     1882         0       0
PARK OHIO HLDGS CORP           COM            700666100          1,000        100       X        28-12020      100         0       0
PARKER HANNIFIN CORP           COM            701094104     17,663,000    415,218       X        28-12020   414651         0     567
PATTERSON COMPANIES INC        COM            703395103        590,000     31,503       X        28-12020    31393         0     110
PATTERSON UTI ENERGY IN C      COM            703481101         33,000      2,888       X        28-12020     2388         0     500
PAYCHEX INC                    COM            704326107      8,657,000    329,390       X        28-12020   325849         0    2671
PEABODY ENERGY CORP            COM            704549104     19,558,000    859,719       X        28-12020   835851         0   23868
PEDIATRIX MED GROUP            COM            705324101         23,000        732       X        28-12020      672         0      60
PENGROWTH ENERGY TR            TR UNIT NEW    706902509         16,000      2,150       X        28-12020     2150         0       0
PENN NATL GAMING INC           COM            707569109      1,923,000     89,948       X        28-12020    89948         0       0
PENN VA CORP                   COM            707882106        451,000     17,379       X        28-12020     2379         0   15000
PENN VA RESOURCES PARTN ERS L  COM            707884102          3,000        250       X        28-12020      250         0       0
PENN WEST ENERGY TR            TR UNIT        707885109         42,000      3,828       X        28-12020     2755         0    1073
PENNEY J C INC                 COM            708160106        518,000     26,263       X        28-12020    22555         0    3708
PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107         13,000      1,852       X        28-12020     1852         0       0
PENTAIR INC                    COM            709631105         68,000      2,893       X        28-12020     2893         0       0
PEOPLES BANCORP INC            COM            709789101         38,000      2,000       X        28-12020     2000         0       0
PEOPLES UNITED FINANCIA L INC  COM            712704105        914,000     51,293       X        28-12020    51293         0       0
PEP BOYS MANNY MOE & JA CK     COM            713278109         10,000      2,500       X        28-12020        0         0    2500
PEPCO HOLDINGS INC             COM            713291102        268,000     15,101       X        28-12020    14101         0    1000
PEPSI BOTTLING GROUP IN C      COM            713409100        163,000      7,274       X        28-12020     7274         0       0
PEPSICO INC                    COM            713448108    270,302,000  4,935,224       X        28-12020  4725441         0  209163
PEPSICO INC                    COM            713448108      3,805,000     21,900       X        28-12020    21900         0       0
PERICOM SEMICONDUCTOR C ORP    COM            713831105          5,000      1,000       X        28-12020     1000         0       0
PERINI CORP                    COM            713839108        373,000     15,941       X        28-12020    15941         0       0
PERKINELMER INC                COM            714046109        209,000     15,049       X        28-12020    13549         0    1500
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        345,000     25,150       X        28-12020    19950         0     800
PEROT SYS CORP                 CL A           714265105      4,020,000    294,043       X        28-12020   288743         0       0
PERRIGO CO                     COM            714290103      2,418,000     74,822       X        28-12020    67622         0       0
PETMED EXPRESS INC             COM            716382106        790,000     44,830       X        28-12020    44830         0       0
PETROHAWK ENERGY CORP          COM            716495106         89,000      5,684       X        28-12020     5684         0       0







PAGE 346 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PETROLEUM DEV CORP             COM            716578109          9,000        363       X        28-12020      363         0       0
PETROQUEST ENERGY INC          COM            716748108         55,000      8,191       X        28-12020     8191         0       0
PETSMART INC                   COM            716768106         37,000      2,012       X        28-12020     2012         0       0
PFIZER INC                     COM            717081103    139,174,000  7,858,385       X        28-12020  7517268         0  341117
PFIZER INC                     COM            717081103      3,900,000     65,000       X        28-12020    65000         0       0
PHARMACEUTICAL PROD DEV INC    COM            717124101      2,979,000    102,692       X        28-12020   102692         0       0
PHARMANET DEV GROUP INC        COM            717148100              0        377       X        28-12020      377         0       0
PHILIP MORRIS INTL INC         COM            718172109     91,276,000  2,097,815       X        28-12020  1902220         0  195595
PHILLIPS VAN HEUSEN COR P      COM            718592108         13,000        623       X        28-12020      623         0       0
PIEDMONT NAT GAS INC           COM            720186105        882,000     27,866       X        28-12020    21466         0    2600
PIKE ELEC CORP                 COM            721283109          6,000        457       X        28-12020      457         0       0
PILGRIMS PRIDE CORP COM DELET  ED             721467108              0        491       X        28-12020      491         0       0
PIMCO HIGH INCOME FD           COM SHS        722014107         11,000      2,000       X        28-12020     2000         0       0
PINNACLE WEST CAP CORP         COM            723484101        251,000      7,798       X        28-12020     7798         0       0
PIONEER DRILLING CO            COM            723655106          1,000        132       X        28-12020      132         0       0
PIONEER NAT RES CO             COM            723787107        177,000     10,991       X        28-12020    10558         0     433
PIPER JAFFRAY COS              COM            724078100         51,000      1,277       X        28-12020     1175         0     102
PITNEY BOWES INC               COM            724479100     23,166,000    909,173       X        28-12020   882409         0   26764
PLAINS ALL AMERN PIPELI NE L   UNIT LTD PARTN 726503105         80,000      2,300       X        28-12020     2300         0       0
PLAINS EXPL& PRODTN CO         COM            726505100         35,000      1,524       X        28-12020     1524         0       0
PLANTRONICS INC NEW            COM            727493108         49,000      3,703       X        28-12020     1203         0    2500
PLEXUS CORP                    COM            729132100        385,000     22,726       X        28-12020    18926         0       0
PLUM CREEK TIMBER CO IN C      COM            729251108        810,000     23,317       X        28-12020    21889         0    1428
POLARIS INDS INC               COM            731068102        270,000      9,424       X        28-12020     9424         0       0
POLO RALPH LAUREN CORP         CL A           731572103        153,000      3,384       X        28-12020     3384         0       0
POPULAR INC                    COM            733174106         16,000      3,028       X        28-12020     3028         0       0
PORTER BANCORP INC             COM            736233107        158,000     10,050       X        28-12020    10050         0       0
PORTLAND GEN ELEC CO           COM NEW        736508847        703,000     36,124       X        28-12020    29924         0       0
POST PPTYS INC                 COM            737464107          8,000        469       X        28-12020      469         0       0
POTLATCH CORP NEW              COM            737630103        598,000     22,973       X        28-12020    18973         0       0
POWELL INDS INC                COM            739128106          1,000         47       X        28-12020       47         0       0







PAGE 347 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
POWER INTEGRATIONS INC         COM            739276103          2,000         78       X        28-12020       78         0       0
POWERWAVE TECHNOLOGIES INC     COM            739363109          4,000      7,699       X        28-12020     1785         0    5914
PRE PAID LEGAL SVCS INC        COM            740065107        641,000     17,200       X        28-12020    14000         0       0
PRECISION CASTPARTS COR P      COM            740189105        851,000     14,312       X        28-12020    14312         0       0
PRECISION DRILLING TR          TR UNIT        740215108         38,000      4,583       X        28-12020     4583         0       0
PREFORMED LINE PRODS CO        COM            740444104      3,036,000     65,948       X        28-12020    65948         0       0
PREMIERE GLOBAL SVCS IN C      COM            740585104        421,000     48,841       X        28-12020    43241         0       0
PRESIDENTIAL LIFE CORP         COM            740884101          5,000        536       X        28-12020      536         0       0
PRICELINE COM INC              COM NEW        741503403         71,000        951       X        28-12020      740         0     211
PROCTER & GAMBLE CO            COM            742718109    323,785,000  5,237,554       X        28-12020  4948597         0  288747
PROCTER & GAMBLE CO            COM            742718109        554,000      3,200       X        28-12020     3200         0       0
PROGENICS PHARMACEUTICA LS IN  COM            743187106         37,000      3,629       X        28-12020     3629         0       0
PROGRESS ENERGY INC            COM            743263105      1,383,000     34,720       X        28-12020    32189         0    2531
PROGRESS SOFTWARE CORP         COM            743312100        425,000     22,073       X        28-12020    22073         0       0
PROGRESSIVE CORP OHIO          COM            743315103     27,200,000  1,836,729       X        28-12020  1742147         0   94582
PROGRESSIVE CORP OHIO          COM            743315103        830,000     10,000       X        28-12020    10000         0       0
PROLOGIS                       SH BEN INT     743410102        229,000     16,501       X        28-12020    16501         0       0
PROSPERITY BANCSHARES I N C    COM            743606105      2,375,000     80,295       X        28-12020    80295         0       0
PROTECTIVE LIFE CORP           COM            743674103         10,000        699       X        28-12020      699         0       0
PROVIDENCE SVC CORP            COM            743815102              0        156       X        28-12020      156         0       0
PROVIDENT NEW YORK BANC ORP    COM            744028101         33,000      2,687       X        28-12020     2687         0       0
PRUDENTIAL FINL INC            COM            744320102        893,000     29,510       X        28-12020    29510         0       0
PUBLIC SVC ENTERPRISE G ROUP   COM            744573106      1,483,000     50,872       X        28-12020    50622         0     250
PUGET ENERGY INC NEW           COM            745310102         60,000      2,217       X        28-12020     2217         0       0
PULASKI FINL CORP              COM            745548107         13,000      1,900       X        28-12020     1900         0       0
PULTE HOMES INC                COM            745867101        186,000     17,014       X        28-12020    17014         0       0
PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107          3,000        600       X        28-12020      600         0       0
PUTNAM MANAGED MUN INCO M TR   COM            746823103          9,000      1,697       X        28-12020     1697         0       0
PUTNAM PREMIER INCOME T R      SH BEN INT     746853100         39,000     10,000       X        28-12020    10000         0       0
QLOGIC CORP                    COM            747277101        584,000     43,466       X        28-12020    37266         0       0
QUALCOMM INC                   COM            747525103    107,102,000  2,989,155       X        28-12020  2908323         0   80232







PAGE 348 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QUALITY SYS INC                COM            747582104        101,000      2,300       X        28-12020     2300         0       0
QUANEX BUILDING PRODUCT S COR  COM            747619104          4,000        397       X        28-12020      397         0       0
QUANTUM CORP                   COM DSSG       747906204              0        387       X        28-12020      387         0       0
QUESTAR CORP                   COM            748356102      2,817,000     86,203       X        28-12020    81403         0    4800
QWEST COMMUNICATIONS IN TL IN  COM            749121109        361,000     99,173       X        28-12020    98357         0     816
RAIT FINANCIAL TRUST           COM            749227104          9,000      3,288       X        28-12020     3288         0       0
RC2 CORP                       COM            749388104              0          9       X        28-12020        9         0       0
RLI CORP                       COM            749607107         33,000        554       X        28-12020      154         0     400
RPC INC                        COM            749660106         58,000      5,940       X        28-12020     5940         0       0
RPM INTL INC                   COM            749685103        930,000     69,982       X        28-12020    65255         0    4727
RF MICRODEVICES INC            COM            749941100         18,000     23,000       X        28-12020    23000         0       0
RADIAN GROUP INC               COM            750236101         95,000     25,973       X        28-12020    25973         0       0
RADIOSHACK CORP                COM            750438103        110,000      9,220       X        28-12020     9220         0       0
RAMBUS INC DEL                 COM            750917106         19,000      1,170       X        28-12020     1170         0       0
RALCORP HLDGS INC NEW          COM            751028101      1,107,000     18,947       X        28-12020    14058         0    3989
RAMCO-GERSHENSON PPTYS TR      COM SH BEN INT 751452202              0         41       X        28-12020       41         0       0
RAYMOND JAMES FINANCIAL INC    COM            754730109         46,000      2,610       X        28-12020     2610         0       0
RAYONIER INC                   COM            754907103        251,000      8,004       X        28-12020     8004         0       0
RAYTHEON CO                    COM NEW        755111507     14,415,000    282,422       X        28-12020   279563         0    2859
READY MIX INC                  COM            755747102          2,000      1,000       X        28-12020     1000         0       0
REALTY INCOME CORP             COM            756109104         94,000      4,077       X        28-12020     3377         0     700
REAVES UTIL INCOME FD          COM SH BEN INT 756158101          2,000        200       X        28-12020      200         0       0
RED HAT INC                    COM            756577102        333,000     25,260       X        28-12020    25260         0       0
REDWOOD TR INC                 COM            758075402              0         28       X        28-12020       28         0       0
REED ELSEVIER N V              SPONS ADR NEW  758204200          5,000        219       X        28-12020      219         0       0
REGAL BELOIT CORP              COM            758750103      3,046,000     80,166       X        28-12020    76166         0       0
REGAL ENTMT GROUP              CL A           758766109         28,000      2,801       X        28-12020     1581         0    1220
REGENCY CTRS CORP              COM            758849103         50,000      1,073       X        28-12020     1073         0       0
REGIS CORP MINN                COM            758932107        475,000     32,679       X        28-12020    28379         0       0
REHABCARE GROUP INC            COM            759148109        396,000     26,113       X        28-12020    21613         0       0
REINSURANCE GROUP AMER INC     COM NEW        759351604      4,248,000     99,210       X        28-12020    99210         0       0







PAGE 349 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RELIANCE STEEL & ALUMIN UM CO  COM            759509102         22,000      1,123       X        28-12020     1123         0       0
REPUBLIC AWYS HLDGS INC        COM            760276105         11,000        997       X        28-12020      997         0       0
REPUBLIC SVCS INC              COM            760759100      1,060,000     42,730       X        28-12020    42730         0       0
RES-CARE INC                   COM            760943100        282,000     18,777       X        28-12020    18777         0       0
RESEARCH IN MOTION LTD         COM            760975102      8,396,000    206,900       X        28-12020   201579         0    5321
RESMED INC                     COM            761152107         38,000      1,016       X        28-12020     1016         0       0
RESOURCE AMERICA INC           CL A           761195205          4,000        997       X        28-12020      997         0       0
REX ENERGY CORPORATION         COM            761565100          2,000        678       X        28-12020      678         0       0
REYNOLDS AMERICAN INC          COM            761713106        422,000     10,459       X        28-12020    10385         0      74
RIGEL PHARMACEUTICALS I N C    COM NEW        766559603          4,000        509       X        28-12020      509         0       0
RIMAGE CORP                    COM            766721104          9,000        634       X        28-12020      634         0       0
RIO TINTO PLC                  SPONSORED ADR  767204100         68,000        765       X        28-12020      765         0       0
RITCHIE BROS AUCTIONEER S      COM            767744105        238,000     11,100       X        28-12020    11100         0       0
RITE AID CORP                  COM            767754104          3,000      7,705       X        28-12020     2300         0    5405
RIVERBED TECHNOLOGY INC        COM            768573107         16,000      1,381       X        28-12020     1381         0       0
RIVUS BOND FUND                COM            769667106         15,000      1,000       X        28-12020        0         0    1000
ROBBINS & MYERS INC            COM            770196103      2,352,000    145,502       X        28-12020   145502         0       0
ROBERT HALF INTL INC           COM            770323103      3,362,000    161,464       X        28-12020   161464         0       0
ROCK-TENN CO                   CL A           772739207        126,000      3,685       X        28-12020     3685         0       0
ROCKWELL AUTOMATION INC        COM            773903109      3,870,000    120,035       X        28-12020   113300         0    6735
ROCKWELL AUTOMATION INC        COM            773903109     41,580,000     54,000       X        28-12020    54000         0       0
ROCKWELL COLLINS INC           COM            774341101      1,571,000     40,209       X        28-12020    34499         0    5710
ROCKWOOD HLDGS INC             COM            774415103         21,000      1,902       X        28-12020     1902         0       0
ROFIN SINAR TECHNOLOGIE S INC  COM            775043102        791,000     38,435       X        28-12020    38435         0       0
ROGERS COMMUNICATIONS I N C    CL B           775109200         77,000      2,564       X        28-12020     2564         0       0
ROGERS CORP                    COM            775133101        618,000     22,250       X        28-12020    18450         0       0
ROHM & HAAS CO                 COM            775371107        434,000      7,031       X        28-12020     7031         0       0
ROLLINS INC                    COM            775711104        494,000     27,311       X        28-12020    27311         0       0
ROPER INDS INC NEW             COM            776696106        132,000      3,041       X        28-12020     3041         0       0
ROSETTA RESOURCES INC          COM            777779307         61,000      8,686       X        28-12020     8686         0       0
ROSS STORES INC                COM            778296103         57,000      1,929       X        28-12020     1929         0       0







PAGE 350 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ROWAN COS INC                  COM            779382100         96,000      6,009       X        28-12020     5971         0      38
ROYAL BK CDA MONTREAL Q U E    COM            780087102         30,000      1,000       X        28-12020     1000         0       0
ROYAL BK SCOTLAND GROUP PLC    SPONS ADR
                               20 ORD         780097689          5,000        303       X        28-12020      303         0       0
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF T  780097713         61,000      6,000       X        28-12020     5000         0    1000
ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS Q 780097754         44,000      5,000       X        28-12020     5000         0       0
ROYAL BK SCOTLAND GROUP PLC    ADR PFD SER P  780097762          8,000      1,000       X        28-12020     1000         0       0
ROYAL BK SCOTLAND GROUP PLC    SP ADR L RP PF 780097788          5,000        595       X        28-12020      595         0       0
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796         23,000      2,500       X        28-12020     2500         0       0
ROYAL DUTCH SHELL PLC          SPON ADR B     780259107        585,000     11,372       X        28-12020     9821         0    1551
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206     12,802,000    241,781       X        28-12020   218419         0   23362
ROYAL GOLD INC                 COM            780287108        299,000      6,083       X        28-12020     6083         0       0
ROYCE VALUE TR INC             COM            780910105          1,000        166       X        28-12020      166         0       0
RUBY TUESDAY INC               COM            781182100          1,000        369       X        28-12020      369         0       0
RUDDICK CORP                   COM            781258108        179,000      6,487       X        28-12020     6487         0       0
RUDOLPH TECHNOLOGIES IN C      COM            781270103              0         41       X        28-12020       41         0       0
RUSH ENTERPRISES INC           CL A           781846209          8,000        881       X        28-12020      881         0       0
RYANAIR HLDGS PLC              SPONSORED ADR  783513104          6,000        200       X        28-12020      200         0       0
RYDER SYS INC                  COM            783549108        146,000      3,762       X        28-12020     3762         0       0
RYLAND GROUP INC               COM            783764103         14,000        813       X        28-12020      813         0       0
S & T BANCORP INC              COM            783859101         55,000      1,542       X        28-12020      142         0    1400
SEI INVESTMENTS CO             COM            784117103        346,000     22,058       X        28-12020    22058         0       0
SJW CORP                       COM            784305104        192,000      6,415       X        28-12020      415         0    6000
SPX CORP                       COM            784635104        162,000      3,979       X        28-12020     3979         0       0
S Y BANCORP INC                COM            785060104      1,303,000     47,373       X        28-12020    47373         0       0
SABINE ROYALTY TR              UNIT BEN INT   785688102        428,000     10,450       X        28-12020     8550         0       0
SAFEWAY INC                    COM NEW        786514208      5,933,000    249,605       X        28-12020   249155         0     450
ST JOE CO                      COM            790148100         44,000      1,805       X        28-12020     1805         0       0
ST JUDE MED INC                COM            790849103      1,742,000     52,890       X        28-12020    52128         0     762
ST MARY LD & EXPL CO           COM            792228108         15,000        721       X        28-12020      721         0       0
SALIX PHARMACEUTICALS I N C    COM            795435106          1,000         88       X        28-12020       88         0       0
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105        724,000     23,402       X        28-12020    19702         0     800







PAGE 351 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SANDERSON FARMS INC            COM            800013104          2,000         48       X        28-12020       48         0       0
SANDY SPRING BANCORP IN C      COM            800363103         10,000        455       X        28-12020      455         0       0
SANGAMO BIOSCIENCES INC        COM            800677106         47,000     13,500       X        28-12020    13500         0       0
SANMINA SCI CORP               COM            800907107          5,000     11,521       X        28-12020    11521         0       0
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204      1,360,000     37,536       X        28-12020    37536         0       0
SAPIENT CORP                   COM            803062108          9,000      2,015       X        28-12020     2015         0       0
SARA LEE CORP                  COM            803111103     13,818,000  1,411,506       X        28-12020  1400306         0   11200
SASOL LTD                      SPONSORED ADR  803866300         30,000        981       X        28-12020      981         0       0
SATYAM COMPUTER SERVICE S LTD  ADR            804098101        113,000     12,500       X        28-12020    12500         0       0
SAUL CTRS INC                  COM            804395101         10,000        259       X        28-12020      259         0       0
SAVVIS INC                     COM NEW        805423308              0         72       X        28-12020       72         0       0
SCANSOURCE INC                 COM            806037107        148,000      7,662       X        28-12020     7662         0       0
SCHEIN HENRY INC               COM            806407102         57,000      1,540       X        28-12020     1540         0       0
SCHERING PLOUGH CORP           COM            806605101     15,816,000    928,638       X        28-12020   899462         0   29176
SCHLUMBERGER LTD               COM            806857108     39,184,000    925,661       X        28-12020   899251         0   25940
SCHNITZER STL INDS             CL A           806882106         12,000        310       X        28-12020      310         0       0
SCHOLASTIC CORP                COM            807066105         10,000        734       X        28-12020      734         0       0
SCHOOL SPECIALTY INC           COM            807863105        440,000     23,013       X        28-12020    19013         0       0
SCHULMAN A INC                 COM            808194104         17,000        998       X        28-12020      998         0       0
SCHWAB CHARLES CORP NEW        COM            808513105      1,394,000     86,206       X        28-12020    85031         0    1175
SCHWEITZER-MAUDUIT INTL INC    COM            808541106              0          8       X        28-12020        8         0       0
SCOTTS MIRACLE GRO CO          CL A           810186106      5,061,000    170,301       X        28-12020   167651         0    2650
SCRIPPS E W CO OHIO            CL A NEW       811054402         21,000      9,782       X        28-12020     9782         0       0
SCRIPPS NETWORKS INTERA CT IN  CL A COM       811065101        504,000     22,889       X        28-12020    22889         0       0
SEABOARD CORP                  COM            811543107         12,000         10       X        28-12020       10         0       0
SEABRIGHT INSURANCE HLD GS IN  COM            811656107          9,000        737       X        28-12020      737         0       0
SEACOAST BKG CORP FLA          COM            811707306         87,000     13,143       X        28-12020    13143         0       0
SEACOR HOLDINGS INC            COM            811904101         29,000        434       X        28-12020      434         0       0
SEALY CORP                     COM            812139301          1,000        256       X        28-12020      256         0       0
SEARS HLDGS CORP               COM            812350106        145,000      3,736       X        28-12020     3736         0       0
SEATTLE GENETICS INC           COM            812578102          1,000        152       X        28-12020      152         0       0







PAGE 352 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SELECTIVE INS GROUP INC        COM            816300107        932,000     40,650       X        28-12020    34450         0       0
SELIGMAN SELECT MUN FD INC     COM            816344105         90,000      9,891       X        28-12020     9891         0       0
SEMTECH CORP                   COM            816850101         17,000      1,499       X        28-12020     1499         0       0
SEMPRA ENERGY                  COM            816851109        760,000     17,832       X        28-12020    16732         0    1100
SEMITOOL INC                   COM            816909105          2,000        500       X        28-12020        0         0     500
SEPRACOR INC                   COM            817315104         23,000      2,095       X        28-12020     2095         0       0
SEQUENOM INC                   COM NEW        817337405         29,000      1,438       X        28-12020     1438         0       0
SERVICE CORP INTL              COM            817565104         24,000      4,917       X        28-12020     4917         0       0
SHAW GROUP INC                 COM            820280105      1,286,000     62,840       X        28-12020    62840         0       0
SHERWIN WILLIAMS CO            COM            824348106      2,576,000     43,091       X        28-12020    42256         0     835
SHORETEL INC                   COM            825211105          1,000        300       X        28-12020      300         0       0
SHUFFLE MASTER INC             COM            825549108          4,000        724       X        28-12020      724         0       0
SIEMENS A G                    SPONSORED ADR  826197501        225,000      2,970       X        28-12020     2270         0     700
SIFCO INDS INC                 COM            826546103         11,000      1,800       X        28-12020     1800         0       0
SIGMA ALDRICH CORP             COM            826552101      3,860,000     91,375       X        28-12020    90631         0     744
SIGMA DESIGNS INC              COM            826565103          9,000        962       X        28-12020      962         0       0
SILICON LABORATORIES IN C      COM            826919102         24,000        961       X        28-12020      961         0       0
SILGAN HOLDINGS INC            COM            827048109         10,000        216       X        28-12020      216         0       0
SIMMONS 1ST NATL CORP          CL A $1 PAR    828730200         13,000        440       X        28-12020      440         0       0
SIMON PPTY GROUP INC NE W      COM            828806109        766,000     14,455       X        28-12020    13838         0     617
SIMPSON MANUFACTURING C O INC  COM            829073105          8,000        286       X        28-12020      286         0       0
SINCLAIR BROADCAST GROU P INC  CL A           829226109          5,000      1,619       X        28-12020     1619         0       0
SKECHERS U S A INC             CL A           830566105          8,000        587       X        28-12020      587         0       0
SKYWEST INC                    COM            830879102         24,000      1,291       X        28-12020     1291         0       0
SKILLSOFT PLC                  SPONSORED ADR  830928107        347,000     48,600       X        28-12020    48600         0       0
SMITH A O                      COM            831865209         15,000        496       X        28-12020      496         0       0
SMITH INTL INC                 COM            832110100        334,000     14,588       X        28-12020    14421         0     167
SMITHFIELD FOODS INC           COM            832248108         58,000      4,099       X        28-12020     4099         0       0
SMUCKER J M CO                 COM NEW        832696405      7,322,000    168,867       X        28-12020   161912         0    6955
SNAP ON INC                    COM            833034101      1,167,000     29,645       X        28-12020    29645         0       0
SOCIEDAD QUIMICA MINERA DE C   SPON ADR SER B 833635105         11,000        450       X        28-12020      450         0       0







PAGE 353 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SOLUTIA INC                    COM NEW        834376501          3,000        694       X        28-12020      694         0       0
SONIC CORP                     COM            835451105      2,000,000    164,389       X        28-12020   164289         0     100
SONICWALL INC                  COM            835470105          9,000      2,272       X        28-12020     2272         0       0
SONOCO PRODS CO                COM            835495102        370,000     15,938       X        28-12020    15938         0       0
SONY CORP                      ADR NEW        835699307         17,000        749       X        28-12020      749         0       0
SOTHEBYS                       COM            835898107          9,000        959       X        28-12020      959         0       0
SONUS NETWORKS INC             COM            835916107         10,000      6,565       X        28-12020     6565         0       0
SOURCE CAP INC                 COM            836144105          8,000        290       X        28-12020      290         0       0
SOUTH FINL GROUP INC           COM            837841105          3,000        788       X        28-12020      788         0       0
SOUTH JERSEY INDS INC          COM            838518108        869,000     21,814       X        28-12020    21814         0       0
SOUTHERN CO                    COM            842587107      5,007,000    135,339       X        28-12020   130373         0    4966
SOUTHERN UN CO NEW             COM            844030106         15,000      1,167       X        28-12020     1167         0       0
SOUTHWEST AIRLS CO             COM            844741108      2,542,000    294,837       X        28-12020   286287         0    8550
SOUTHWEST BANCORP INC O KLA    COM            844767103        666,000     51,393       X        28-12020    42493         0       0
SOUTHWEST GAS CORP             COM            844895102         12,000        478       X        28-12020      478         0       0
SOUTHWEST WTR CO               COM            845331107          5,000      1,468       X        28-12020        0         0    1468
SOUTHWESTERN ENERGY CO         COM            845467109        699,000     24,121       X        28-12020    24121         0       0
SOVEREIGN BANCORP INC          COM            845905108         77,000     25,775       X        28-12020    25775         0       0
SPAIN FD                       COM            846330108         26,000      4,775       X        28-12020     4775         0       0
SPARTAN STORES INC             COM            846822104        654,000     28,129       X        28-12020    11590         0   16539
SPARTECH CORP                  COM NEW        847220209        176,000     28,199       X        28-12020    28199         0       0
SPECTRA ENERGY CORP            COM            847560109     10,544,000    669,876       X        28-12020   633830         0   36046
SPEEDWAY MOTORSPORTS IN C      COM            847788106         30,000      1,871       X        28-12020     1871         0       0
SPHERION CORP                  COM            848420105              0         97       X        28-12020       97         0       0
SPIRE CORP                     COM            848565107         21,000      4,000       X        28-12020     4000         0       0
SPIRIT AEROSYSTEMS HLDG S INC  COM CL A       848574109      2,582,000    253,920       X        28-12020   253920         0       0
SPRINT NEXTEL CORP             COM SER 1      852061100        412,000    225,396       X        28-12020   218040         0    7356
SPRINT NEXTEL CORP             COM SER 1      852061100     13,000,000     10,000       X        28-12020    10000         0       0
STAAR SURGICAL CO              COM PAR $0.01  852312305         40,000     17,000       X        28-12020        0         0   17000
STANCORP FINL GROUP INC        COM            852891100         60,000      1,427       X        28-12020     1427         0       0
STANDARD MICROSYSTEMS C ORP    COM            853626109         12,000        731       X        28-12020      731         0       0







PAGE 354 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STANDARD PARKING CORP          COM            853790103         10,000        492       X        28-12020      492         0       0
STANDEX INTL CORP              COM            854231107          2,000         89       X        28-12020       89         0       0
STANLEY INC                    COM            854532108      1,636,000     45,175       X        28-12020    45175         0       0
STANLEY WKS                    COM            854616109        175,000      5,151       X        28-12020     5151         0       0
STAPLES INC                    COM            855030102     24,615,000  1,373,563       X        28-12020  1329137         0   44426
STARBUCKS CORP                 COM            855244109        675,000     71,390       X        28-12020    71390         0       0
STATE AUTO FINL CORP           COM            855707105              0          9       X        28-12020        9         0       0
STATE STR CORP                 COM            857477103     64,162,000  1,631,363       X        28-12020  1583514         0   47849
STEAK N SHAKE CO               COM            857873103          4,000        650       X        28-12020      650         0       0
STEEL DYNAMICS INC             COM            858119100        237,000     21,214       X        28-12020    21214         0       0
STEELCASE INC                  CL A           858155203         10,000      1,702       X        28-12020     1702         0       0
STEIN MART INC                 COM            858375108          2,000      2,000       X        28-12020     2000         0       0
STERLING BANCSHARES INC        COM            858907108        862,000    141,716       X        28-12020   118166         0       0
STERICYCLE INC                 COM            858912108      3,480,000     66,828       X        28-12020    66708         0       0
STERIS CORP                    COM            859152100        661,000     27,680       X        28-12020    27680         0       0
STERLING FINL CORP WASH        COM            859319105         10,000      1,104       X        28-12020     1104         0       0
STERLITE INDS INDIA LTD        ADS            859737207          2,000        335       X        28-12020      335         0       0
STEWART ENTERPRISES INC        CL A           860370105          7,000      2,196       X        28-12020     2196         0       0
STIFEL FINL CORP               COM            860630102         10,000        225       X        28-12020      225         0       0
STONE ENERGY CORP              COM            861642106          8,000        713       X        28-12020      713         0       0
STRATTEC SEC CORP              COM            863111100          4,000        240       X        28-12020      240         0       0
STRAYER ED INC                 COM            863236105      6,523,000     30,422       X        28-12020    30422         0       0
STRYKER CORP                   COM            863667101     21,947,000    549,320       X        28-12020   223490         0  325830
STUDENT LN CORP                COM            863902102          7,000        160       X        28-12020      160         0       0
SUBURBAN PROPANE PARTNE RS L   UNIT LTD PARTN 864482104         97,000      2,733       X        28-12020     2733         0       0
SUFFOLK BANCORP                COM            864739107         13,000        356       X        28-12020      356         0       0
SUN COMMUNITIES INC            COM            866674104         85,000      6,045       X        28-12020     6045         0       0
SUN LIFE FINL INC              COM            866796105        283,000     12,232       X        28-12020    12232         0       0
SUN MICROSYSTEMS INC           COM NEW        866810203        155,000     40,709       X        28-12020    40709         0       0
SUN HEALTHCARE GROUP IN C      COM NEW        866933401          5,000        611       X        28-12020      611         0       0
SUN HYDRAULICS CORP            COM            866942105         10,000        550       X        28-12020      550         0       0







PAGE 355 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SUNCOR ENERGY INC              COM            867229106        525,000     26,911       X        28-12020    18911         0    8000
SUNPOWER CORP                  COM CL A       867652109         54,000      1,446       X        28-12020     1446         0       0
SUNPOWER CORP                  COM CL B       867652307         13,000        411       X        28-12020      411         0       0
SUNSTONE HOTEL INVS INC NEW    COM            867892101          8,000      1,253       X        28-12020     1253         0       0
SUNTRUST BKS INC               COM            867914103      1,909,000     64,605       X        28-12020    64101         0     504
SUNTRUST BKS INC               COM            867914103        185,000      1,000       X        28-12020     1000         0       0
SUPERIOR ENERGY SVCS IN C      COM            868157108         24,000      1,554       X        28-12020     1554         0       0
SUPERIOR INDS INTL INC         COM            868168105              0         27       X        28-12020       27         0       0
SUPERTEX INC                   COM            868532102          6,000        237       X        28-12020      237         0       0
SUPERVALU INC                  COM            868536103        262,000     17,910       X        28-12020    17735         0     175
SURMODICS INC                  COM            868873100          6,000        235       X        28-12020      235         0       0
SUSQUEHANNA BANCSHARES INC P   COM            869099101         14,000        893       X        28-12020      893         0       0
SWIFT ENERGY CO                COM            870738101         10,000        574       X        28-12020      574         0       0
SWISS HELVETIA FD INC          COM            870875101         19,000      1,500       X        28-12020     1500         0       0
SYBASE INC                     COM            871130100      2,709,000    109,364       X        28-12020    97464         0       0
SYCAMORE NETWORKS INC          COM            871206108          2,000        816       X        28-12020      816         0       0
SYKES ENTERPRISES INC          COM            871237103        131,000      6,892       X        28-12020     6892         0       0
SYMANTEC CORP                  COM            871503108     12,128,000    896,952       X        28-12020   880637         0   16315
SYMMETRY MED INC               COM            871546206          1,000        140       X        28-12020      140         0       0
SYNOPSYS INC                   COM            871607107         45,000      2,449       X        28-12020     2449         0       0
SYNTHESIS ENERGY SYS IN C      COM            871628103              0        200       X        28-12020      200         0       0
SYPRIS SOLUTIONS INC           COM            871655106              0        250       X        28-12020      250         0       0
SYSCO CORP                     COM            871829107     26,788,000  1,167,758       X        28-12020  1159461         0    8297
SYSTEMAX INC                   COM            871851101         11,000      1,007       X        28-12020     1007         0       0
TCF FINL CORP                  COM            872275102         31,000      2,266       X        28-12020     1418         0     848
TDK CORP                       AMERN DEP SH   872351408          2,000         54       X        28-12020       54         0       0
TECO ENERGY INC                COM            872375100      1,001,000     81,153       X        28-12020    74153         0    2200
TEPPCO PARTNERS L P            UT LTD PARTNER 872384102        181,000      9,258       X        28-12020     5858         0    3400
TJX COS INC NEW                COM            872540109      1,812,000     88,101       X        28-12020    86956         0    1145
TNS INC                        COM            872960109          8,000        896       X        28-12020      896         0       0
TAIWAN SEMICONDUCTOR MF G LTD  SPONSORED ADR  874039100      8,085,000  1,023,382       X        28-12020  1003249         0   20133







PAGE 356 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TAKE-TWO INTERACTIVE SO FTWAR  COM            874054109          5,000        604       X        28-12020      604         0       0
TANGER FACTORY OUTLET C TRS I  COM            875465106         10,000        274       X        28-12020      274         0       0
TATA MTRS LTD                  SPONSORED ADR  876568502         79,000     17,696       X        28-12020    17696         0       0
TAUBMAN CTRS INC               COM            876664103        345,000     13,536       X        28-12020      891         0   12645
TEAM INC                       COM            878155100         11,000        412       X        28-12020      412         0       0
TECH DATA CORP                 COM            878237106         26,000      1,436       X        28-12020     1376         0      60
TECHNE CORP                    COM            878377100      1,936,000     30,003       X        28-12020    30003         0       0
TECHNITROL INC                 COM            878555101          4,000      1,074       X        28-12020     1074         0       0
TECK COMINCO LTD               CL B           878742204          3,000        413       X        28-12020      413         0       0
TECUMSEH PRODS CO              CL B           878895101      8,481,000    888,113       X        28-12020   888113         0       0
TECUMSEH PRODS CO              CL A           878895200              0          7       X        28-12020        7         0       0
TEJON RANCH CO DEL             COM            879080109          2,000         64       X        28-12020       64         0       0
TEKELEC                        COM            879101103         21,000      1,544       X        28-12020     1544         0       0
TELE NORTE LESTE PART S A      SPON ADR PFD   879246106          1,000         70       X        28-12020       70         0       0
TELECOM CORP NEW ZEALAN D LTD  SPONSORED ADR  879278208          3,000        426       X        28-12020      426         0       0
TELEDYNE TECHNOLOGIES I N C    COM            879360105        352,000      7,898       X        28-12020     7898         0       0
TELEFLEX INC                   COM            879369106        144,000      2,869       X        28-12020     2869         0       0
TELEFONICA S A                 SPONSORED ADR  879382208        179,000      2,651       X        28-12020     2651         0       0
TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780         78,000      3,716       X        28-12020     3716         0       0
TELEPHONE & DATA SYS IN C      COM            879433100         56,000      1,751       X        28-12020     1751         0       0
TELLABS INC                    COM            879664100      3,115,000    756,141       X        28-12020   756141         0       0
TELMEX INTERNACIONAL SA B DE   SPONS ADR SR L 879690105         24,000      2,100       X        28-12020     2100         0       0
TEMPLE INLAND INC              COM            879868107         13,000      2,735       X        28-12020     2735         0       0
TELETECH HOLDINGS INC          COM            879939106         12,000      1,427       X        28-12020      227         0    1200
TEMPLETON EMERG MKTS IN COME   COM            880192109          5,000        500       X        28-12020      500         0       0
TEMPLETON GLOBAL INCOME FD     COM            880198106          6,000        800       X        28-12020      800         0       0
TENNANT CO                     COM            880345103         67,000      4,319       X        28-12020     4319         0       0
TENNECO INC                    COM            880349105         26,000      8,933       X        28-12020     8933         0       0
TERADYNE INC                   COM            880770102         56,000     13,405       X        28-12020    13405         0       0
TEREX CORP NEW                 COM            880779103        207,000     11,972       X        28-12020    11972         0       0
TERRA INDS INC                 COM            880915103        240,000     14,393       X        28-12020     6510         0    7883







PAGE 357 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TERRA NITROGEN CO L P          COM UNIT       881005201        191,000      2,018       X        28-12020     2018         0       0
TESORO CORP                    COM            881609101        166,000     12,611       X        28-12020     8611         0    4000
TEVA PHARMACEUTICAL IND S LTD  ADR            881624209     77,515,000  1,820,890       X        28-12020  1769199         0   51611
TEXAS INSTRS INC               COM            882508104     30,086,000  1,938,510       X        28-12020  1885048         0   53462
TEXAS ROADHOUSE INC            CL A           882681109      4,425,000    570,956       X        28-12020   570956         0       0
TEXTRON INC                    COM            883203101        678,000     48,957       X        28-12020    43862         0    5095
TEXTRON INC                    COM            883203101     15,785,000      4,100       X        28-12020     4100         0       0
THERAGENICS CORP               COM            883375107         45,000     38,193       X        28-12020        0         0   38193
THERMO FISHER SCIENTIFI C INC  COM            883556102      8,371,000    245,703       X        28-12020   232033         0   13040
THOMAS & BETTS CORP            COM            884315102         23,000        962       X        28-12020      962         0       0
THOMPSON CREEK METALS C O INC  COM            884768102        941,000    235,956       X        28-12020   227501         0    8455
THOMSON REUTERS PLC            SPONSORED ADR  885141101        148,000      1,090       X        28-12020      536         0     554
THOR INDS INC                  COM            885160101          8,000        586       X        28-12020      586         0       0
THORATEC CORP                  COM NEW        885175307         18,000        566       X        28-12020      566         0       0
3COM CORP                      COM            885535104        121,000     53,067       X        28-12020    53067         0       0
TIDEWATER INC                  COM            886423102      4,943,000    122,732       X        28-12020   121132         0    1180
TIFFANY & CO NEW               COM            886547108        226,000      9,570       X        28-12020     9570         0       0
TIME WARNER INC                COM            887317105     16,743,000  1,664,307       X        28-12020  1656562         0    7745
TIMKEN CO                      COM            887389104         79,000      4,006       X        28-12020     4006         0       0
TITANIUM METALS CORP           COM NEW        888339207         73,000      8,328       X        28-12020     6667         0    1661
TIVO INC                       COM            888706108         16,000      2,237       X        28-12020     2237         0       0
TOLL BROTHERS INC              COM            889478103         34,000      1,573       X        28-12020     1573         0       0
TOMKINS PLC                    SPONSORED ADR  890030208          1,000        151       X        28-12020      151         0       0
TOMPKINS FINANCIAL CORP ORATI  COM            890110109        403,000      6,957       X        28-12020     5757         0       0
TOOTSIE ROLL INDS INC          COM            890516107         27,000      1,032       X        28-12020     1032         0       0
TORCHMARK CORP                 COM            891027104        263,000      5,895       X        28-12020     4695         0    1200
TOREADOR RES CORP              COM            891050106          7,000      1,188       X        28-12020     1188         0       0
TORO CO                        COM            891092108         24,000        733       X        28-12020      733         0       0
TORONTO DOMINION BK ONT        COM NEW        891160509        173,000      4,825       X        28-12020     2578         0    2247
TOWER FINANCIAL CORP           COM            891769101          3,000        500       X        28-12020      500         0       0
TOTAL SYS SVCS INC             COM            891906109        156,000     11,147       X        28-12020    11147         0       0







PAGE 358 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TOYOTA MOTOR CORP              SP ADR REP2COM 892331307        498,000      7,603       X        28-12020     7194         0     409
TRACTOR SUPPLY CO              COM            892356106      1,100,000     30,447       X        28-12020    30447         0       0
TRANSACT TECHNOLOGIES I N C    COM            892918103         14,000      3,000       X        28-12020        0         0    3000
TRANSATLANTIC HLDGS INC        COM            893521104         11,000        283       X        28-12020      283         0       0
TRANSDIGM GROUP INC            COM            893641100          9,000        267       X        28-12020      267         0       0
TRAVELCENTERS OF AMERIC A LLC  COM            894174101              0         40       X        28-12020       40         0       0
TREDEGAR CORP                  COM            894650100        824,000     45,346       X        28-12020    41346         0       0
TREE COM INC                   COM            894675107              0         91       X        28-12020       91         0       0
TRI CONTL CORP                 COM            895436103         94,000      9,470       X        28-12020     9470         0       0
TRIDENT MICROSYSTEMS IN C      COM            895919108          3,000      1,393       X        28-12020     1393         0       0
TRICO MARINE SERVICES I N C    COM NEW        896106200          2,000        519       X        28-12020      519         0       0
TRIMBLE NAVIGATION LTD         COM            896239100      8,171,000    378,079       X        28-12020   378079         0       0
TRINITY INDS INC               COM            896522109      5,057,000    320,873       X        28-12020   302873         0   18000
TRIUMPH GROUP INC NEW          COM            896818101          1,000         17       X        28-12020       17         0       0
TRONOX INC COM CL B DELET      ED             897051207              0         32       X        28-12020       32         0       0
TRUSTCO BK CORP N Y            COM            898349105         16,000      1,682       X        28-12020     1682         0       0
TRUSTMARK CORP                 COM            898402102         23,000      1,059       X        28-12020     1059         0       0
TUESDAY MORNING CORP           COM NEW        899035505              0         11       X        28-12020       11         0       0
TUPPERWARE BRANDS CORP         COM            899896104         84,000      3,681       X        28-12020     3681         0       0
TURBOCHEF TECHNOLOGIES INC     COM NEW        900006206          9,000      1,858       X        28-12020     1858         0       0
TURKISH INVT FD INC            COM            900145103          7,000      1,250       X        28-12020     1250         0       0
TWEEN BRANDS INC               COM            901166108          2,000        369       X        28-12020      369         0       0
TWIN DISC INC                  COM            901476101         10,000      1,497       X        28-12020     1497         0       0
II VI INC                      COM            902104108         42,000      2,196       X        28-12020     2196         0       0
TYLER TECHNOLOGIES INC         COM            902252105      1,530,000    127,732       X        28-12020   127732         0       0
TYSON FOODS INC                CL A           902494103        154,000     17,591       X        28-12020    17591         0       0
UAL CORP                       COM NEW        902549807         22,000      1,960       X        28-12020     1960         0       0
UDR INC                        COM            902653104         42,000      3,015       X        28-12020     3015         0       0
UGI CORP NEW                   COM            902681105      5,301,000    217,088       X        28-12020   217088         0       0
UIL HLDG CORP                  COM            902748102         41,000      1,365       X        28-12020     1365         0       0
UMB FINL CORP                  COM            902788108      1,992,000     40,528       X        28-12020    38628         0       0







PAGE 359 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UST INC                        COM            902911106      2,167,000     31,231       X        28-12020    31231         0       0
US BANCORP DEL                 COM NEW        902973304     16,995,000    679,526       X        28-12020   619470         0   60056
URS CORP NEW                   COM            903236107         51,000      1,251       X        28-12020     1251         0       0
U S G CORP                     COM NEW        903293405         17,000      2,146       X        28-12020     2146         0       0
ULTRA PETROLEUM CORP           COM            903914109         14,000        400       X        28-12020      400         0       0
UMPQUA HLDGS CORP              COM            904214103          7,000        453       X        28-12020      453         0       0
UNDER ARMOUR INC               CL A           904311107          4,000        155       X        28-12020      155         0       0
UNIFI INC                      COM            904677101          3,000      1,000       X        28-12020        0         0    1000
UNIFIRST CORP MASS             COM            904708104        769,000     25,897       X        28-12020    25897         0       0
UNILEVER PLC                   SPON ADR NEW   904767704        296,000     12,839       X        28-12020    12839         0       0
UNILEVER N V N                 Y SHS NEW      904784709      1,114,000     45,398       X        28-12020    45398         0       0
UNION PAC CORP                 COM            907818108     17,469,000    365,451       X        28-12020   353814         0   11637
UNISOURCE ENERGY CORP          COM            909205106         28,000        961       X        28-12020      761         0     200
UNISYS CORP                    COM            909214108          7,000      7,433       X        28-12020     7433         0       0
UNIT CORP                      COM            909218109         20,000        746       X        28-12020      746         0       0
UNITED CMNTY FINL CORP OHIO    COM            909839102         12,000     12,850       X        28-12020    12850         0       0
UNITED BANKSHARES INC W EST V  COM            909907107        320,000      9,634       X        28-12020     9634         0       0
UNITED CAPITAL CORP            COM            909912107          9,000        500       X        28-12020      500         0       0
UNITED FIRE & CAS CO           COM            910331107          6,000        211       X        28-12020      211         0       0
UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          7,000      3,547       X        28-12020     3547         0       0
UNITED NAT FOODS INC           COM            911163103          5,000        268       X        28-12020      268         0       0
UNITED ONLINE INC              COM            911268100         19,000      3,090       X        28-12020     3090         0       0
UNITED PARCEL SERVICE I N C    CL B           911312106     15,593,000    282,678       X        28-12020   279884         0    2794
UNITED RENTALS INC             COM            911363109          3,000        344       X        28-12020      344         0       0
UNITED STATES CELLULAR CORP    COM            911684108         14,000        318       X        28-12020      318         0       0
UNITED STATES STL CORP NEW     COM            912909108        318,000      8,553       X        28-12020     8553         0       0
UNITED STATIONERS INC          COM            913004107      2,002,000     59,785       X        28-12020    55685         0       0
UNITED TECHNOLOGIES COR P      COM            913017109     26,632,000    496,853       X        28-12020   483077         0   13134
UNITRIN INC                    COM            913275103         47,000      2,943       X        28-12020     2943         0       0
UNIVERSAL AMERICAN CORP        COM            913377107        242,000     27,400       X        28-12020    27400         0       0
UNIVERSAL CORP VA              COM            913456109        278,000      9,303       X        28-12020     7703         0       0







PAGE 360 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UNIVERSAL ELECTRS INC          COM            913483103              0         25       X        28-12020       25         0       0
UNIVERSAL FST PRODS INC        COM            913543104          4,000        141       X        28-12020      141         0       0
UNIVERSAL STAINLESS & A LLOY   COM            913837100      1,673,000    115,493       X        28-12020   115493         0       0
UNIVERSAL HLTH SVCS INC        CL B           913903100      1,204,000     32,042       X        28-12020    32042         0       0
UNIVEST CORP PA                COM            915271100         14,000        422       X        28-12020      422         0       0
URANIUM RES INC                COM PAR $0.001 916901507          3,000      3,857       X        28-12020     3857         0       0
URBAN OUTFITTERS INC           COM            917047102        227,000     15,199       X        28-12020    15199         0       0
URSTADT BIDDLE PPTYS IN S      CL A           917286205      1,334,000     83,743       X        28-12020    83743         0       0
VCA ANTECH INC                 COM            918194101        231,000     11,614       X        28-12020    11614         0       0
V F CORP                       COM            918204108        258,000      4,709       X        28-12020     4709         0       0
VSE CORP                       COM            918284100        879,000     22,400       X        28-12020    22400         0       0
VALASSIS COMMUNICATIONS INC    COM            918866104          2,000      1,628       X        28-12020     1628         0       0
VALENCE TECHNOLOGY INC         COM            918914102          3,000      1,500       X        28-12020        0         0    1500
VALLEY NATL BANCORP            COM            919794107      2,232,000    110,209       X        28-12020   110209         0       0
VALMONT INDS INC               COM            920253101         28,000        457       X        28-12020      457         0       0
VALSPAR CORP                   COM            920355104        464,000     25,634       X        28-12020    25634         0       0
VAN KAMPEN HIGH INCOME TR II   SH BEN INT     920913100          1,000        750       X        28-12020      750         0       0
VAN KAMPEN MUN TR              SH BEN INT     920919107         12,000      1,358       X        28-12020     1358         0       0
VAN KAMPEN OHIO QUALITY MUN    COM            920923109         38,000      3,084       X        28-12020     3084         0       0
VAN KAMPEN TR INVT GRAD E MUN  COM            920929106         43,000      4,942       X        28-12020      942         0    4000
VAN KAMPEN MUN OPPORTUN ITY T  COM            920935103         19,000      1,984       X        28-12020     1984         0       0
VAN KAMPEN SENIOR INCOM E TR   COM            920961109          5,000      2,100       X        28-12020     2100         0       0
VANGUARD BD INDEX FD IN C      TOTAL BND MRKT 921937835     80,762,000  1,022,702       X        28-12020   926018         0   96684
VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858     71,121,000  2,589,046       X        28-12020  2545469         0   43577
VANGUARD INTL EQUITY IN DEX F  ALLWRLD EX US  922042775         37,000      1,160       X        28-12020     1160         0       0
VANGUARD INTL EQUITY IN DEX F  EMR MKT ETF    922042858     97,607,000  4,141,183       X        28-12020  3999342         0  141841
VARIAN INC                     COM            922206107         34,000      1,005       X        28-12020     1005         0       0
VARIAN SEMICONDUCTOR EQ UIPMN  COM            922207105         38,000      2,101       X        28-12020     2101         0       0
VEECO INSTRS INC DEL           COM            922417100          5,000        855       X        28-12020      855         0       0
VANGUARD INDEX FDS             REIT ETF       922908553         76,000      2,091       X        28-12020     2091         0       0
VANGUARD INDEX FDS             SM CP VAL ETF  922908611         17,000        390       X        28-12020      390         0       0







PAGE 361 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VANGUARD INDEX FDS             SMALL CP ETF   922908751        126,000      2,960       X        28-12020     2960         0       0
VANGUARD INDEX FDS             STK MRK ETF    922908769        243,000      5,425       X        28-12020     5425         0       0
VIGNETTE CORP                  COM NEW        926734401          9,000      1,008       X        28-12020     1008         0       0
VILLAGE SUPER MKT INC          CL A NEW       927107409          1,000         22       X        28-12020       22         0       0
VIROPHARMA INC                 COM            928241108        607,000     46,634       X        28-12020    38734         0       0
VISHAY INTERTECHNOLOGY INC     COM            928298108         11,000      3,253       X        28-12020     3253         0       0
VIVUS INC                      COM            928551100          6,000      1,053       X        28-12020     1053         0       0
VMWARE INC                     CL A COM       928563402         27,000      1,151       X        28-12020     1151         0       0
VOLCANO CORPORATION            COM            928645100          3,000        208       X        28-12020      208         0       0
VOLT INFORMATION SCIENC ES IN  COM            928703107          4,000        594       X        28-12020      594         0       0
VOLTERRA SEMICONDUCTOR CORP    COM            928708106         17,000      2,390       X        28-12020     2390         0       0
VORNADO RLTY TR                SH BEN INT     929042109        499,000      8,279       X        28-12020     8279         0       0
VULCAN MATLS CO                COM            929160109        774,000     11,112       X        28-12020    11112         0       0
WD-40 CO                       COM            929236107         22,000        793       X        28-12020      793         0       0
WMS INDS INC                   COM            929297109        720,000     26,767       X        28-12020    26767         0       0
WSFS FINL CORP                 COM            929328102         12,000        240       X        28-12020      240         0       0
WUXI PHARMATECH CAYMAN INC     SPONS ADR SHS  929352102          5,000        600       X        28-12020      600         0       0
WABASH NATL CORP               COM            929566107              0         25       X        28-12020       25         0       0
WABTEC CORP                    COM            929740108        379,000      9,533       X        28-12020     9533         0       0
WACHOVIA CORP NEW              COM            929903102      2,085,000    376,242       X        28-12020   368201         0    8041
WACOAL HOLDINGS CORP           ADR            930004205          3,000         47       X        28-12020       47         0       0
WADDELL & REED FINL INC        CL A           930059100         20,000      1,300       X        28-12020     1300         0       0
WAL MART STORES INC            COM            931142103    138,857,000  2,476,956       X        28-12020  2372646         0  103790
WALGREEN CO                    COM            931422109     15,051,000    610,035       X        28-12020   530778         0   79257
WARNACO GROUP INC              COM NEW        934390402         15,000        753       X        28-12020      753         0       0
WARNER MUSIC GROUP CORP        COM            934550104          2,000        784       X        28-12020      784         0       0
WASHINGTON FED INC             COM            938824109         23,000      1,534       X        28-12020     1534         0       0
WASHINGTON MUT INC COM DELET   ED             939322103              0     16,727       X        28-12020    15227         0    1500
WASHINGTON POST CO             CL B           939640108        169,000        433       X        28-12020      433         0       0
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        526,000     18,589       X        28-12020    15289         0       0
WASHINGTON TR BANCORP          COM            940610108        242,000     12,250       X        28-12020    12250         0       0







PAGE 362 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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        969,000     30,694       X        28-12020    26644         0       0
WATERS CORP                    COM            941848103        186,000      5,077       X        28-12020     5077         0       0
WATERSTONE FINANCIAL IN C      COM            941888109          2,000        636       X        28-12020      636         0       0
WATSON PHARMACEUTICALS INC     COM            942683103        118,000      4,428       X        28-12020     4328         0     100
WATSON WYATT WORLDWIDE INC     CL A           942712100      2,338,000     48,901       X        28-12020    48901         0       0
WATTS WATER TECHNOLOGIE S INC  CL A           942749102        444,000     17,766       X        28-12020    14666         0       0
WAUSAU PAPER CORP              COM            943315101          7,000        573       X        28-12020      573         0       0
WAYSIDE TECHNOLOGY GROU P INC  COM            946760105          2,000        300       X        28-12020      300         0       0
WEBSENSE INC                   COM            947684106          4,000        266       X        28-12020      266         0       0
WEBSTER FINL CORP CONN         COM            947890109         13,000        967       X        28-12020      967         0       0
WEIGHT WATCHERS INTL IN C NEW  COM            948626106         11,000        378       X        28-12020      378         0       0
WEINGARTEN RLTY INVS           SH BEN INT     948741103         89,000      4,309       X        28-12020     4309         0       0
WEIS MKTS INC                  COM            948849104         20,000        600       X        28-12020      600         0       0
WELLS FARGO & CO NEW           COM            949746101    128,173,000  4,347,747       X        28-12020  4176174         0  171573
WELLS FARGO & CO NEW           COM            949746101      3,600,000      8,000       X        28-12020     8000         0       0
WENDYS ARBYS GROUP INC         COM            950587105        156,000     31,700       X        28-12020    31700         0       0
WERNER ENTERPRISES INC         COM            950755108      1,415,000     81,619       X        28-12020    75319         0       0
WESBANCO INC                   COM            950810101         52,000      1,912       X        28-12020      112         0    1800
WESCO FINL CORP                COM            950817106          6,000         20       X        28-12020       20         0       0
WEST COAST BANCORP ORE NEW     COM            952145100          4,000        588       X        28-12020      588         0       0
WEST PHARMACEUTICAL SVS C INC  COM            955306105        168,000      4,446       X        28-12020     4446         0       0
WESTAMERICA BANCORPORAT ION    COM            957090103         27,000        521       X        28-12020      521         0       0
WESTERN DIGITAL CORP           COM            958102105        176,000     15,416       X        28-12020    14916         0     500
WESTERN UN CO                  COM            959802109      3,943,000    274,917       X        28-12020   269915         0    5002
WESTWOOD ONE INC COM DELET     ED             961815107              0      2,588       X        28-12020     2588         0       0
WET SEAL INC                   CL A           961840105              0         73       X        28-12020       73         0       0
WEYERHAEUSER CO                COM            962166104      9,077,000    296,521       X        28-12020   296356         0     165
WHIRLPOOL CORP                 COM            963320106      5,407,000    130,765       X        28-12020   130565         0     200
WHITING PETE CORP NEW          COM            966387102         85,000      2,555       X        28-12020     2555         0       0
WHITNEY HLDG CORP              COM            966612103         21,000      1,314       X        28-12020     1314         0       0
WHOLE FOODS MKT INC            COM            966837106        129,000     13,647       X        28-12020     9695         0    3952







PAGE 363 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WILEY JOHN & SONS INC          CL A           968223206        225,000      6,321       X        28-12020     6321         0       0
WILLBROS GROUP INC             COM            969199108          3,000        338       X        28-12020      338         0       0
WILLIAMS COS INC DEL           COM            969457100        521,000     36,022       X        28-12020    35022         0    1000
WILLIAMS CLAYTON ENERGY INC    COM            969490101        409,000      9,000       X        28-12020     9000         0       0
WILLIAMS SONOMA INC            COM            969904101         16,000      2,021       X        28-12020     2021         0       0
WILLIS LEASE FINANCE CO RP     COM            970646105        191,000     20,587       X        28-12020    20587         0       0
WILMINGTON TRUST CORP          COM            971807102         29,000      1,290       X        28-12020     1290         0       0
WIND RIVER SYSTEMS INC         COM            973149107          2,000        180       X        28-12020      180         0       0
WINN DIXIE STORES INC          COM NEW        974280307          4,000        270       X        28-12020      270         0       0
WINNEBAGO INDS INC             COM            974637100          4,000        728       X        28-12020      728         0       0
WINTHROP RLTY TR               SH BEN INT NEW 976391300         12,000      1,119       X        28-12020     1119         0       0
WISCONSIN ENERGY CORP          COM            976657106      2,205,000     52,520       X        28-12020    52456         0      64
WOLVERINE WORLD WIDE IN C      COM            978097103      6,377,000    303,087       X        28-12020   299087         0       0
WOODWARD GOVERNOR CO           COM            980745103         15,000        634       X        28-12020      634         0       0
WORLD ACCEP CORP DEL           COM            981419104         29,000      1,458       X        28-12020     1458         0       0
WORLD FUEL SVCS CORP           COM            981475106        113,000      3,053       X        28-12020     3053         0       0
WORTHINGTON INDS INC           COM            981811102        108,000      9,829       X        28-12020     9829         0       0
WYETH                          COM            983024100     42,491,000  1,132,802       X        28-12020  1083910         0   48892
WYETH                          COM            983024100        200,000     20,000       X        28-12020    20000         0       0
WYNN RESORTS LTD               COM            983134107        161,000      3,818       X        28-12020     3818         0       0
X-RITE INC                     COM            983857103          8,000      5,450       X        28-12020     5450         0       0
XILINX INC                     COM            983919101        296,000     16,629       X        28-12020    15032         0    1597
XEROX CORP                     COM            984121103        399,000     49,999       X        28-12020    49999         0       0
YPF SOCIEDAD ANONIMA           SPON ADR CL D  984245100          9,000        200       X        28-12020        0         0     200
YRC WORLDWIDE INC              COM            984249102         20,000      7,050       X        28-12020       50         0    7000
YAHOO INC                      COM            984332106      7,221,000    591,952       X        28-12020   591504         0     448
YUM BRANDS INC                 COM            988498101      5,752,000    182,591       X        28-12020   180199         0    2392
ZALE CORP NEW                  COM            988858106          1,000        238       X        28-12020      238         0       0
ZEBRA TECHNOLOGIES CORP        CL A           989207105        232,000     11,451       X        28-12020    11451         0       0
ZENITH NATL INS CORP           COM            989390109         20,000        636       X        28-12020      376         0     260
ZIONS BANCORPORATION           COM            989701107        152,000      6,203       X        28-12020     6203         0       0







PAGE 364 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ZOLL MED CORP                  COM            989922109          8,000        449       X        28-12020      449         0       0
ALLIANCEBERNSTEIN INCOM E FUN  COM            01881E101        247,000     34,934       X        28-12020    34934         0       0
DUN & BRADSTREET CORP D EL NE  COM            26483E100      1,536,000     19,901       X        28-12020    19901         0       0
PETROCHINA CO LTD              SPONSORED  ADR 71646E100          4,000         50       X        28-12020       50         0       0
BLACKROCK CORE BD TR           SHS BEN INT    09249E101          9,000        800       X        28-12020        0         0     800
CADBURY PLC                    SPONS ADR      12721E102          1,000         28       X        28-12020       28         0       0
COVANTA HLDG CORP              COM            22282E102      4,556,000    207,441       X        28-12020   204571         0    2110
LENDER PROCESSING SVCS INC     COM            52602E102         65,000      2,200       X        28-12020     2200         0       0
LUMINEX CORP DEL               COM            55027E102          4,000        196       X        28-12020      196         0       0
PETRO-CDA                      COM            71644E102         21,000        952       X        28-12020      952         0       0
QUANTA SVCS INC                COM            74762E102     31,112,000  1,571,381       X        28-12020  1529396         0   41985
VERISIGN INC                   COM            92343E102        205,000     10,738       X        28-12020    10738         0       0
BLACKROCK MUNYIELD INSD FD I   COM            09254E103          1,000         77       X        28-12020       77         0       0
NUVEEN INVT QUALITY MUN FD I   COM            67062E103         52,000      5,000       X        28-12020     5000         0       0
TALISMAN ENERGY INC            COM            87425E103         68,000      6,765       X        28-12020     1765         0    5000
COMSYS IT PARTNERS INC         COM            20581E104          2,000        671       X        28-12020      671         0       0
AMERISOURCEBERGEN CORP         COM            03073E105        367,000     10,273       X        28-12020    10273         0       0
NEWS CORP                      CL A           65248E104      1,195,000    131,489       X        28-12020   128139         0    3350
SALLY BEAUTY HLDGS INC         COM            79546E104         56,000      9,756       X        28-12020     9756         0       0
TRINA SOLAR LIMITED            SPON ADR       89628E104          3,000        300       X        28-12020        0         0     300
CKE RESTAURANTS INC            COM            12561E105          3,000        352       X        28-12020      352         0       0
AMERICAN EAGLE OUTFITTE RS NE  COM            02553E106      2,136,000    228,309       X        28-12020   228309         0       0
EMBARQ CORP                    COM            29078E105      2,190,000     60,893       X        28-12020    60451         0     442
INVENTIV HEALTH INC            COM            46122E105         11,000        934       X        28-12020      934         0       0
ACTIONS SEMICONDUCTOR C O LTD  ADR            00507E107         13,000      8,000       X        28-12020        0         0    8000
BRE PROPERTIES INC             CL A           05564E106        434,000     15,501       X        28-12020    12501         0     500
TELEMIG CELULAR PART S A       SPON ADR PFD   87944E105          1,000         37       X        28-12020       37         0       0
UNIVERSAL HEALTH RLTY I NCM T  SH BEN INT     91359E105        359,000     10,913       X        28-12020    10913         0       0
CELERA CORP                    COM            15100E106         20,000      1,796       X        28-12020     1796         0       0
FLAHERTY & CRUMRINE PFD INC    COM            33848E106          2,000        400       X        28-12020      400         0       0
JAKKS PAC INC                  COM            47012E106      1,168,000     56,640       X        28-12020    47840         0       0







PAGE 365 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TARGET CORP                    COM            87612E106     30,493,000    883,080       X        28-12020   849968         0   33112
ING GLOBAL EQTY DIV & P REM O  COM            45684E107          2,000        203       X        28-12020      203         0       0
NSTAR                          COM            67019E107        372,000     10,227       X        28-12020     7227         0    3000
RENASANT CORP                  COM            75970E107         11,000        617       X        28-12020      617         0       0
T-3 ENERGY SRVCS INC           COM            87306E107              0         48       X        28-12020       48         0       0
UNIBANCO-UNIAO DE BANCO S BRA  ADR            90458E107          3,000         42       X        28-12020       42         0       0
VITRAN CORP INC                COM            92850E107      3,110,000    496,780       X        28-12020   496780         0       0
EDWARDS LIFESCIENCES CO RP     COM            28176E108      1,602,000     29,168       X        28-12020    28766         0     402
NCR CORP NEW                   COM            62886E108         58,000      4,092       X        28-12020     4092         0       0
NAVISTAR INTL CORP NEW         COM            63934E108          2,000        100       X        28-12020      100         0       0
USEC INC                       COM            90333E108         10,000      2,157       X        28-12020     2157         0       0
COMPLETE PRODUCTION SER VICES  COM            20453E109         46,000      5,672       X        28-12020     5672         0       0
DR PEPPER SNAPPLE GROUP INC    COM            26138E109        157,000      9,707       X        28-12020     8666         0    1041
PHOENIX COS INC NEW            COM            71902E109          3,000        845       X        28-12020      845         0       0
QUANTUM FUEL SYS TECH W ORLDW  COM            74765E109          3,000      3,967       X        28-12020     3967         0       0
TOTAL S A                      SPONSORED ADR  89151E109        333,000      6,017       X        28-12020     5617         0     400
TRAVELERS COMPANIES INC        COM            89417E109     24,922,000    551,366       X        28-12020   534694         0   16672
NEWS CORP                      CL B           65248E203         19,000      1,976       X        28-12020     1976         0       0
BARCLAYS PLC                   ADR            06738E204         16,000      1,621       X        28-12020     1621         0       0
J2 GLOBAL COMMUNICATION S INC  COM NEW        46626E205      7,206,000    359,565       X        28-12020   354365         0       0
NOVAGOLD RES INC               COM NEW        66987E206         65,000     44,092       X        28-12020       92         0   44000
BHP BILLITON PLC               SPONSORED ADR  05545E209          9,000        237       X        28-12020      237         0       0
INTEGRATED ELECTRICAL S V C    COM            45811E301          1,000         60       X        28-12020       60         0       0
ACCO BRANDS CORP               COM            00081T108          5,000      1,608       X        28-12020     1608         0       0
AFC ENTERPRISES INC            COM            00104Q107              0         43       X        28-12020       43         0       0
AES CORP                       COM            00130H105      6,154,000    746,904       X        28-12020   740839         0    3970
AMB PROPERTY CORP              COM            00163T109         33,000      1,426       X        28-12020     1426         0       0
AMAG PHARMACEUTICALS IN C      COM            00163U106         11,000        300       X        28-12020      300         0       0
AT&T INC                       COM            00206R102    163,055,000  5,721,329       X        28-12020  5535369         0  185960
AT&T INC                       COM            00206R102         14,000      1,200       X        28-12020     1200         0       0
ATMI INC                       COM            00207R101          4,000        257       X        28-12020      257         0       0







PAGE 366 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ATP OIL & GAS CORP             COM            00208J108        692,000    118,372       X        28-12020   118372         0       0
ATC TECHNOLOGY CORP            COM            00211W104        266,000     18,200       X        28-12020    14700         0       0
ABINGTON BANCORP INC           COM            00350L109              0         17       X        28-12020       17         0       0
ABRAXIS BIOSCIENCE INC NEW     COM            00383Y102         17,000        263       X        28-12020      263         0       0
ACCELRYS INC                   COM            00430U103              0        100       X        28-12020      100         0       0
ACORDA THERAPEUTICS INC        COM            00484M106          4,000        181       X        28-12020      181         0       0
ACTIVISION BLIZZARD INC        COM            00507V109        234,000     27,024       X        28-12020    26624         0     400
ACTUATE CORP                   COM            00508B102              0         52       X        28-12020       52         0       0
ACTUANT CORP                   CL A NEW       00508X203        476,000     25,006       X        28-12020    21506         0       0
ACUITY BRANDS INC              COM            00508Y102         14,000        388       X        28-12020      388         0       0
ADAPTEC INC                    COM            00651F108          4,000      1,300       X        28-12020     1000         0     300
ADOBE SYS INC                  COM            00724F101      5,959,000    279,851       X        28-12020   276591         0    2400
ADOLOR CORP                    COM            00724X102          8,000      5,000       X        28-12020        0         0    5000
ADTRAN INC                     COM            00738A106          7,000        477       X        28-12020      477         0       0
ADVANCE AMER CASH ADVAN CE CT  COM            00739W107          1,000        268       X        28-12020      268         0       0
ADVANCE AUTO PARTS INC         COM            00751Y106         55,000      1,624       X        28-12020     1624         0       0
ADVANCED ANALOGIC TECHN OLOGI  COM            00752J108              0          8       X        28-12020        8         0       0
ADVANTAGE ENERGY INCOME FD     TR UNIT        00762L101          3,000        700       X        28-12020      700         0       0
ADVISORY BRD CO                COM            00762W107          3,000        153       X        28-12020      153         0       0
ADVANCED MEDICAL OPTICS INC    COM            00763M108        142,000     21,411       X        28-12020    21411         0       0
ADVENT CLAYMORE CV SECS & IN   COM            00764C109          2,000        203       X        28-12020      203         0       0
ADVENTRX PHARMACEUTICAL S INC  COM            00764X103          3,000     39,800       X        28-12020    39800         0       0
AECOM TECHNOLOGY CORP D ELAWA  COM            00766T100        832,000     27,087       X        28-12020    22387         0       0
AES TR III                     PFD CV 6.75%   00808N202         60,000      1,591       X        28-12020     1591         0       0
AETNA INC NEW                  COM            00817Y108      1,006,000     35,333       X        28-12020    35197         0     136
AFFYMETRIX INC                 COM            00826T108          1,000        200       X        28-12020      200         0       0
AGILENT TECHNOLOGIES IN C      COM            00846U101        776,000     49,656       X        28-12020    48894         0     762
AGILYSYS INC                   COM            00847J105         51,000     11,724       X        28-12020     3086         0    8638
AGRIA CORP                     SPONSORED ADR  00850H103         30,000     20,000       X        28-12020    20000         0       0
AIRVANA INC                    COM            00950V101         12,000      1,969       X        28-12020     1969         0       0
AKAMAI TECHNOLOGIES INC        COM            00971T101        183,000     12,110       X        28-12020    12110         0       0







PAGE 367 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALASKA COMMUNICATIONS S YS GR  COM            01167P101         81,000      8,628       X        28-12020     5128         0    3500
ALKERMES INC                   COM            01642T108         20,000      1,863       X        28-12020     1863         0       0
ALLEGHENY TECHNOLOGIES INC     COM            01741R102        236,000      9,280       X        28-12020     9152         0     128
ALLIANCE RES PARTNER L P       UT LTD PART    01877R108         56,000      2,100       X        28-12020     2100         0       0
ALLIANCEBERNSTEIN GBL H GH IN  COM            01879R106        114,000     14,944       X        28-12020    14944         0       0
ALLIANCEBERNSTEIN HOLDI NG LP  UNIT LTD PARTN 01881G106        555,000     26,680       X        28-12020    16280         0   10400
ALLIED CAP CORP NEW            COM            01903Q108         38,000     14,199       X        28-12020    14199         0       0
ALLSCRIPT MISYS HEALTCA R SOL  COM            01988P108         34,000      3,397       X        28-12020     3397         0       0
ALNYLAM PHARMACEUTICALS INC    COM            02043Q107        183,000      7,394       X        28-12020     7394         0       0
ALPHA NATURAL RESOURCES INC    COM            02076X102         25,000      1,579       X        28-12020     1579         0       0
ALPINE GLOBAL PREMIER P PTYS   COM SBI        02083A103          9,000      2,250       X        28-12020     2250         0       0
ALTRIA GROUP INC               COM            02209S103     19,444,000  1,291,109       X        28-12020  1126785         0  164324
ALZA CORP                      SDCV       7/2 02261WAB5          2,000      2,000       X        28-12020     2000         0       0
AMCOL INTL CORP                COM            02341W103         10,000        473       X        28-12020      473         0       0
AMDOCS LTD                     NOTE
                               0.500% 3/1     02342TAD1          3,000      3,000       X        28-12020     3000         0       0
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105        408,000     13,160       X        28-12020    13160         0       0
AMERICA MOVIL SAB DE CV        SPON ADR A SHS 02364W105         16,000      1,000       X        28-12020     1000         0       0
AMERICAN CAP LTD               COM            02503Y103         60,000     18,263       X        28-12020    18263         0       0
AMERICAN MED SYS HLDGS INC     COM            02744M108          5,000        569       X        28-12020      569         0       0
AMERICAN PUBLIC EDUCATI ON IN  COM            02913V103        169,000      4,531       X        28-12020     4531         0       0
AMERICAN RAILCAR INDS I N C    COM            02916P103          5,000        500       X        28-12020      500         0       0
AMERICREDIT CORP               COM            03060R101         10,000      1,307       X        28-12020     1307         0       0
AMERISAFE INC                  COM            03071H100      2,923,000    142,361       X        28-12020   126461         0       0
AMERIGROUP CORP                COM            03073T102        568,000     19,255       X        28-12020    16755         0       0
AMERIPRISE FINL INC            COM            03076C106      1,069,000     45,738       X        28-12020    35343         0   10395
AMERIS BANCORP                 COM            03076K108          8,000        634       X        28-12020      634         0       0
AMGEN INC                      NOTE
                               0.375% 2/0     031162AQ3          2,000      2,000       X        28-12020     2000         0       0
AMICUS THERAPEUTICS INC        COM            03152W109          4,000        506       X        28-12020      506         0       0
AMSURG CORP                    COM            03232P405      2,687,000    115,144       X        28-12020   108344         0       0
ANGIODYNAMICS INC              COM            03475V101          7,000        512       X        28-12020      512         0       0
ANGLO AMERN PLC                ADR NEW        03485P201      6,743,000    580,211       X        28-12020   573706         0    6505







PAGE 368 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ANSYS INC                      COM            03662Q105      4,319,000    154,859       X        28-12020   154859         0       0
APARTMENT INVT & MGMT C O      CL A           03748R101         76,000      6,536       X        28-12020     6536         0       0
APOLLO INVT CORP               COM            03761U106        126,000     13,536       X        28-12020    13536         0       0
APPLIED ENERGETICS INC         COM            03819M106          3,000      8,000       X        28-12020     8000         0       0
APPLIED INDL TECHNOLOGI ES IN  COM            03820C105         19,000        980       X        28-12020      980         0       0
AQUA AMERICA INC               COM            03836W103        516,000     25,100       X        28-12020    23234         0    1866
ARBITRON INC                   COM            03875Q108          3,000        244       X        28-12020      244         0       0
ARCH CHEMICALS INC             COM            03937R102          8,000        324       X        28-12020      324         0       0
ARCELORMITTAL SA LUXEMB OURG   NY REGISTRY SH 03938L104         19,000        761       X        28-12020      761         0       0
ARES CAP CORP                  COM            04010L103          3,000        461       X        28-12020      461         0       0
ARIBA INC                      COM NEW        04033V203         12,000      1,693       X        28-12020     1693         0       0
ARMSTRONG WORLD INDS IN C NEW  COM            04247X102          6,000        272       X        28-12020      272         0       0
ARRIS GROUP INC                COM            04269Q100         29,000      3,618       X        28-12020     3618         0       0
ARRAY BIOPHARMA INC            COM            04269X105          9,000      2,205       X        28-12020     2205         0       0
ART TECHNOLOGY GROUP IN C      COM            04289L107          7,000      3,376       X        28-12020     3376         0       0
ASSURANT INC                   COM            04621X108      2,046,000     68,213       X        28-12020    68213         0       0
ASYST TECHNOLOGY CORP          COM            04648X107              0        779       X        28-12020      779         0       0
ATHENAHEALTH INC               COM            04685W103          1,000         34       X        28-12020       34         0       0
ATHEROS COMMUNICATIONS INC     COM            04743P108         20,000      1,459       X        28-12020     1459         0       0
AUTONATION INC                 COM            05329W102         65,000      6,594       X        28-12020     6594         0       0
AUXILIUM PHARMACEUTICAL S INC  COM            05334D107         10,000        349       X        28-12020      349         0       0
AVANEX CORP                    COM NEW        05348W307              0        226       X        28-12020      120         0     106
AVISTA CORP                    COM            05379B107      1,334,000     68,840       X        28-12020    68840         0       0
B & G FOODS INC NEW            UNIT
                               99/99/9999     05508R205          6,000        600       X        28-12020      600         0       0
BCE INC                        COM NEW        05534B760      1,749,000     85,349       X        28-12020    84892         0     457
BGC PARTNERS INC               CL A           05541T101          2,000        719       X        28-12020      719         0       0
BJS WHOLESALE CLUB INC         COM            05548J106      1,138,000     33,228       X        28-12020    29228         0       0
BOK FINL CORP                  COM NEW        05561Q201        107,000      2,648       X        28-12020     2648         0       0
BALLARD PWR SYS INC            COM            05858H104          2,000      1,823       X        28-12020     1823         0       0
BALLY TECHNOLOGIES INC         COM            05874B107         12,000        500       X        28-12020      500         0       0
BANCFIRST CORP                 COM            05945F103      2,763,000     52,207       X        28-12020    47207         0       0







PAGE 369 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BANCO BILBAO VIZCAYA AR GENTA  SPONSORED ADR  05946K101        210,000     16,790       X        28-12020    16790         0       0
BANCO SANTANDER SA             ADR            05964H105         54,000      5,651       X        28-12020     5651         0       0
BANCOLOMBIA S A                SPON ADR PREF  05968L102        785,000     33,627       X        28-12020    29027         0       0
BANKFINANCIAL CORP             COM            06643P104          8,000        769       X        28-12020      769         0       0
BANNER CORP                    COM            06652V109          4,000        448       X        28-12020      448         0       0
BARCLAYS BK PLC                DJAIG CMDT ETN 06738C778        326,000      9,252       X        28-12020     9252         0       0
BARCLAYS BANK PLC              ASIA GULF
                               ETN38          06739H420         16,000        314       X        28-12020      314         0       0
BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776         14,000      1,000       X        28-12020     1000         0       0
BARRETT BILL CORP              COM            06846N104          5,000        225       X        28-12020      225         0       0
BASIC ENERGY SVCS INC N E W    COM            06985P100         14,000      1,096       X        28-12020     1096         0       0
BEAZER HOMES USA INC           COM            07556Q105          2,000      1,452       X        28-12020     1452         0       0
BENCHMARK ELECTRS INC          COM            08160H101        660,000     51,680       X        28-12020    46680         0       0
BENEFICIAL MUTUAL BANCO RP IN  COM            08173R104      2,359,000    209,650       X        28-12020   200150         0       0
BIG 5 SPORTING GOODS CO RP     COM            08915P101          4,000        770       X        28-12020      770         0       0
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602      4,455,000    169,851       X        28-12020   169851         0       0
BIOMARIN PHARMACEUTICAL INC    COM            09061G101         21,000      1,182       X        28-12020     1182         0       0
BIOGEN IDEC INC                COM            09062X103      1,590,000     33,408       X        28-12020    33408         0       0
BIOMED REALTY TRUST INC        COM            09063H107        701,000     59,832       X        28-12020    50632         0       0
BLACKBAUD INC                  COM            09227Q100          5,000        375       X        28-12020      375         0       0
BLACKROCK INVT QLTY MUN TR     COM            09247B109         16,000      2,000       X        28-12020     2000         0       0
BLACKROCK INVT QUALITY MUN T   COM            09247D105        147,000     17,108       X        28-12020    17108         0       0
BLACKROCK INC                  COM            09247X101         92,000        682       X        28-12020      682         0       0
BLACKROCK MUNIC INCM IN VST T  SH BEN INT     09248H105         34,000      3,500       X        28-12020        0         0    3500
BLACKROCK STRATEGIC MUN TR     COM            09248T109          8,000      1,000       X        28-12020     1000         0       0
BLACKROCK LTD DURATION INC T   COM SHS        09249W101         54,000      5,000       X        28-12020        0         0    5000
BLACKROCK MUN 2020 TERM TR     COM SHS        09249X109         20,000      1,850       X        28-12020     1850         0       0
BLACKROCK WORLD INVT TR        COM SHS BN INT 09250K103         23,000      2,690       X        28-12020     2690         0       0
BLACKROCK DIVID ACHIEVR S TM   COM            09250N107         21,000      2,569       X        28-12020     2569         0       0
BLACKROCK GLBL ENRGY & RES T   COM            09250U101          9,000        569       X        28-12020      569         0       0
BLACKROCK MUNIVEST FD I N C    COM            09253R105          3,000        500       X        28-12020      500         0       0
BLACKSTONE GROUP L P           COM UNIT LTD   09253U108          3,000        500       X        28-12020        0         0     500







PAGE 370 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 FD INC     COM            09253W104         25,000      2,495       X        28-12020     2151         0     344
BLACKROCK MUNIHLDGS INS D FDI  COM            09254C107          5,000        500       X        28-12020      500         0       0
BLACKROCK MUNIYIELD QUA LITY   COM            09254F100         40,000      4,000       X        28-12020     4000         0       0
BLACKROCK MUNIYIELD INV ST FD  COM            09254R104          9,000      1,000       X        28-12020        0         0    1000
BLACKROCK MUNIYIELD INS INV    COM            09254T100          9,000      1,024       X        28-12020       24         0    1000
BLACKROCK MUNIYIELD MIC H INS  COM            09254W103         13,000      1,500       X        28-12020        0         0    1500
BLACKROCK GBL EQTY INCO ME TR  COM            09255D104         12,000      1,390       X        28-12020     1390         0       0
BLACKROCK PFD INCOME ST RATEG  COM            09255H105         19,000      2,900       X        28-12020     2900         0       0
BLDRS INDEX FDS TR             EMER MK 50 ADR 09348R300         87,000      3,180       X        28-12020     3180         0       0
BLUE NILE INC                  COM            09578R103          2,000         86       X        28-12020       86         0       0
BLYTH INC                      COM            09643P108          7,000        954       X        28-12020      954         0       0
BRISTOL MYERS SQUIBB CO        DBCV       9/1 110122AN8          2,000      3,000       X        28-12020     3000         0       0
BROADRIDGE FINL SOLUTIO NS IN  COM            11133T103      3,497,000    278,783       X        28-12020   272350         0    6433
BROOKLINE BANCORP INC D E L    COM            11373M107          3,000        271       X        28-12020      271         0       0
BURLINGTON NORTHN SANTA FE C   COM            12189T104      4,180,000     55,215       X        28-12020    51667         0    3548
CB RICHARD ELLIS GROUP INC     CL A           12497T101         49,000     11,278       X        28-12020    11278         0       0
CH ENERGY GROUP INC            COM            12541M102         27,000        528       X        28-12020      528         0       0
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209      1,078,000     19,588       X        28-12020    19588         0       0
CLECO CORP NEW                 COM            12561W105      1,439,000     62,992       X        28-12020    53592         0       0
CKX INC                        COM            12562M106              0         57       X        28-12020       57         0       0
CME GROUP INC                  COM            12572Q105      6,129,000     29,452       X        28-12020    28990         0     382
CNA SURETY CORP                COM            12612L108         11,000        568       X        28-12020      568         0       0
CNX GAS CORP                   COM            12618H309        304,000     11,142       X        28-12020    11142         0       0
CTC MEDIA INC                  COM            12642X106          3,000        577       X        28-12020      577         0       0
CA INC                         COM            12673P105        396,000     21,384       X        28-12020    21384         0       0
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109     10,349,000    614,537       X        28-12020   614537         0       0
CAL DIVE INTL INC DEL          COM            12802T101      1,572,000    241,614       X        28-12020   241614         0       0
CALAMOS GBL DYN INCOME FUND    COM            12811L107          3,000        503       X        28-12020        0         0     503
CALAMOS CONV & HIGH INC OME F  COM SHS        12811P108          6,000        675       X        28-12020      675         0       0
CALAMOS ASSET MGMT INC         CL A           12811R104          5,000        729       X        28-12020      729         0       0
CALLON PETE CO DEL             COM            13123X102          1,000        375       X        28-12020      375         0       0







PAGE 371 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CAMECO CORP                    COM            13321L108         16,000        916       X        28-12020      916         0       0
CAMERON INTERNATIONAL C ORP    COM            13342B105        275,000     13,428       X        28-12020    13253         0     175
CANADIAN PAC RY LTD            COM            13645T100         23,000        700       X        28-12020      700         0       0
CAPITAL ONE FINL CORP          COM            14040H105        708,000     22,220       X        28-12020    22082         0     138
CAPITAL TRUST INC MD           CL A NEW       14052H506          4,000      1,229       X        28-12020     1229         0       0
CAPITALSOURCE INC              COM            14055X102      1,623,000    351,352       X        28-12020   351352         0       0
CAPITOL BANCORP LTD            COM            14056D105          1,000        100       X        28-12020      100         0       0
CAPITOL FED FINL               COM            14057C106         26,000        575       X        28-12020      575         0       0
CAPSTONE TURBINE CORP          COM            14067D102          4,000      4,966       X        28-12020     2966         0    2000
CAPSTEAD MTG CORP              COM NO PAR     14067E506         11,000      1,000       X        28-12020     1000         0       0
CARACO PHARMACEUTICAL L ABS L  COM            14075T107          4,000        722       X        28-12020      722         0       0
CARDIAC SCIENCE CORP           COM            14141A108      1,086,000    144,850       X        28-12020   144850         0       0
CARDICA INC                    COM            14141R101          4,000      1,250       X        28-12020     1250         0       0
CARDINAL HEALTH INC            COM            14149Y108      1,194,000     34,662       X        28-12020    34067         0     595
CASH AMER INTL INC             COM            14754D100      2,454,000     89,713       X        28-12020    82213         0       0
CATALYST HEALTH SOLUTIO NS IN  COM            14888B103         14,000        570       X        28-12020      570         0       0
CENTENE CORP DEL               COM            15135B101          7,000        363       X        28-12020      363         0       0
CENTERLINE HOLDINGS CO SH BEN  ED             15188T108              0      2,400       X        28-12020     2400         0       0
CENTERPOINT ENERGY INC         COM            15189T107        300,000     23,767       X        28-12020    23767         0       0
CENTRAIS ELETRICAS BRAS ILEIR  SPON ADR PFD B 15234Q108          2,000        201       X        28-12020      201         0       0
CENTRAIS ELETRICAS BRAS ILEIR  SPONSORED ADR  15234Q207          1,000         75       X        28-12020       75         0       0
CEPHEID                        COM            15670R107         16,000      1,564       X        28-12020     1564         0       0
CENVEO INC                     COM            15670S105          2,000        344       X        28-12020      344         0       0
CHART INDS INC                 COM PAR $0.01  16115Q308         30,000      2,798       X        28-12020     2798         0       0
CHEMED CORP NEW                COM            16359R103        632,000     15,900       X        28-12020    13600         0       0
CHENIERE ENERGY INC            COM NEW        16411R208          7,000      2,482       X        28-12020     2482         0       0
CHEROKEE INC DEL NEW           COM            16444H102          5,000        299       X        28-12020      299         0       0
CHIMERA INVT CORP              COM            16934Q109          1,000        147       X        28-12020      147         0       0
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109        138,000      2,711       X        28-12020     2500         0     211
CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108          7,000        115       X        28-12020      115         0       0
CHINA SEC & SURVE TECH INC     COM            16942J105              0        100       X        28-12020      100         0       0







PAGE 372 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHUNGHWA TELECOM CO LTD        SPON ADR NEW   17133Q304        251,000     16,080       X        28-12020    16080         0       0
CIBER INC                      COM            17163B102        712,000    147,976       X        28-12020   147976         0       0
CINEMARK HOLDINGS INC          COM            17243V102          5,000        707       X        28-12020      707         0       0
CIRCOR INTL INC                COM            17273K109          2,000         77       X        28-12020       77         0       0
CISCO SYS INC                  COM            17275R102    117,316,000  7,197,295       X        28-12020  6950048         0  245296
CITADEL BROADCASTING CO RP     COM            17285T106              0      4,719       X        28-12020     4696         0      23
CITIZENS FIRST BANCORP INC D   COM            17461R106          3,000      1,500       X        28-12020     1500         0       0
CITY BK LYNNWOOD WASH          COM            17770A109          4,000        788       X        28-12020      788         0       0
CLAYMORE EXCHANGE TRADE D FD   SABRIENT STLTH 18383M308          7,000        500       X        28-12020        0         0     500
CLEAR CHANNEL OUTDOOR H LDGS   CL A           18451C109          2,000        298       X        28-12020      298         0       0
CLEARWIRE CORP NEW             CL A           18538Q105          7,000      1,388       X        28-12020     1388         0       0
CLEARWATER PAPER CORP          COM            18538R103         74,000      8,817       X        28-12020     7675         0       0
CLIFFS NATURAL RESOURCE S INC  COM            18683K101        263,000     10,264       X        28-12020     9984         0     280
COGENT INC                     COM            19239Y108         29,000      2,092       X        28-12020     1092         0    1000
COHEN & STEERS INC             COM            19247A100         10,000        939       X        28-12020      939         0       0
COHEN & STEERS QUALITY RLTY    COM            19247L106          7,000      1,728       X        28-12020     1728         0       0
COHEN & STEERS TOTAL RE TURN   COM            19247R103          5,000        659       X        28-12020      659         0       0
COHEN & STEERS PREM INC RLTY   COM            19247V104          8,000      2,237       X        28-12020     2237         0       0
COHEN & STEERS ADV INC RLTY    COM            19247W102         11,000      2,868       X        28-12020     2868         0       0
COHEN & STEERS REIT & P FD IN  COM            19247X100          3,000        453       X        28-12020      453         0       0
COHEN & STEERS REIT & U TIL I  COM            19247Y108          2,000        250       X        28-12020      250         0       0
COHEN & STEERS SELECT U TIL F  COM            19248A109         52,000      5,000       X        28-12020        0         0    5000
COHEN & STEERS GLOBAL I NC BL  COM            19248M103         10,000      1,268       X        28-12020     1268         0       0
COHEN & STEERS CLOSED E ND OP  COM            19248P106              0          0       X        28-12020        0         0       0
COINSTAR INC                   COM            19259P300          2,000         84       X        28-12020       84         0       0
COLLECTIVE BRANDS INC          COM            19421W100         22,000      1,830       X        28-12020     1158         0     672
COMCAST CORP NEW               CL A           20030N101      2,957,000    175,198       X        28-12020   171081         0    4117
COMCAST CORP NEW               CL A SPL       20030N200        608,000     37,651       X        28-12020    28814         0    8837
COMPANHIA SIDERURGICA N ACION  SPONSORED ADR  20440W105          5,000        400       X        28-12020      400         0       0
COMPANHIA PARANAENSE EN ERG C  SPON ADR PFD   20441B407        436,000     41,347       X        28-12020    41347         0       0
COMPANHIA DE BEBIDAS DA S AME  SPON ADR PFD   20441W203      3,766,000     85,000       X        28-12020    83820         0     870







PAGE 373 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMPASS MINERALS INTL I N C    COM            20451N101        221,000      3,763       X        28-12020     3763         0       0
COMPASS DIVERSIFIED HOL DINGS  SH BEN INT     20451Q104          5,000        413       X        28-12020      413         0       0
COMPUCREDIT CORP               COM            20478N100              0         30       X        28-12020       30         0       0
CONCHO RES INC                 COM            20605P101         11,000        481       X        28-12020      481         0       0
CONOCOPHILLIPS                 COM            20825C104     97,374,000  1,879,791       X        28-12020  1827066         0   52725
CONSOL ENERGY INC              COM            20854P109      1,304,000     45,648       X        28-12020    45648         0       0
CONSTELLATION BRANDS IN C      CL A           21036P108        367,000     23,237       X        28-12020    23237         0       0
CONSTAR INTL INC NEW           COM            21036U107          1,000      9,504       X        28-12020     9504         0       0
CONVERTED ORGANICS INC         COM            21254S107          4,000      1,207       X        28-12020     1207         0       0
CORPORATE EXECUTIVE BRD CO     COM            21988R102         90,000      4,099       X        28-12020     4099         0       0
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108      1,130,000     36,819       X        28-12020    30219         0       0
CORRECTIONS CORP AMER N E W    COM NEW        22025Y407         23,000      1,433       X        28-12020     1433         0       0
COSTCO WHSL CORP NEW           COM            22160K105     11,934,000    227,318       X        28-12020   225207         0    1531
COSTCO COMPANIES INC           NOTE       8/1 22160QAC6          7,000      6,000       X        28-12020     6000         0       0
CRACKER BARREL OLD CTRY STOR   COM            22410J106         46,000      2,254       X        28-12020     2254         0       0
CROSS TIMBERS RTY TR           TR UNIT        22757R109        342,000     12,300       X        28-12020    12300         0       0
CROSSTEX ENERGY L P            COM            22765U102          2,000        500       X        28-12020      500         0       0
CROSSTEX ENERGY INC            COM            22765Y104          3,000        642       X        28-12020      642         0       0
CTRIP COM INTL LTD             ADR            22943F100         62,000      2,600       X        28-12020     2600         0       0
CURRENCYSHS JAPANESE YE N TR   JAPANESE YEN   23130A102         27,000        248       X        28-12020      248         0       0
CURRENCYSHARES EURO TR         EURO SHS       23130C108          2,000         13       X        28-12020       13         0       0
CYBERSOURCE CORP               COM            23251J106        292,000     24,373       X        28-12020    24373         0       0
CYTOKINETICS INC               COM            23282W100          2,000        800       X        28-12020        0         0     800
DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100         12,000      1,250       X        28-12020     1250         0       0
DNP SELECT INCOME FD           COM            23325P104         92,000     15,014       X        28-12020    13514         0    1500
D R HORTON INC                 COM            23331A109        139,000     19,696       X        28-12020    19696         0       0
DSW INC                        CL A           23334L102          6,000        500       X        28-12020      500         0       0
DWS HIGH INCOME TR             SHS            23337C109          8,000      2,581       X        28-12020     2581         0       0
DWS MUN INCOME TR              COM            23338M106         51,000      6,200       X        28-12020     6200         0       0
DWS GLOBAL HIGH INCOME FD      COM            23338W104         12,000      2,245       X        28-12020     2245         0       0
DWS RREEF REAL ESTATE F D II   COM            23338X102         14,000     21,500       X        28-12020    21500         0       0







PAGE 374 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DANAHER CORP DEL               NOTE       1/2 235851AF9          9,000     10,000       X        28-12020    10000         0       0
DATA DOMAIN INC                COM            23767P109      1,008,000     53,640       X        28-12020    53640         0       0
DAVITA INC                     COM            23918K108        288,000      5,807       X        28-12020     5807         0       0
DEL MONTE FOODS CO             COM            24522P103        150,000     21,038       X        28-12020    19857         0    1181
DELAWARE INVT NAT MUNI INC F   SH BEN INT     24610T108         27,000      2,845       X        28-12020     2845         0       0
DELL INC                       COM            24702R101      2,469,000    241,100       X        28-12020   237267         0    3833
DENNYS CORP                    COM            24869P104          4,000      1,971       X        28-12020     1971         0       0
DEVON ENERGY CORP NEW          COM            25179M103     11,750,000    178,820       X        28-12020   176066         0    2324
DIAGEO P L C                   SPON ADR NEW   25243Q205      1,385,000     24,407       X        28-12020    23927         0     480
DIAMOND OFFSHORE DRILLI NG IN  COM            25271C102      4,072,000     69,093       X        28-12020    68153         0     690
DIGIMARC CORP NEW              COM            25381B101          6,000        571       X        28-12020        0         0     571
DIGITAL RIV INC                COM            25388B104      5,248,000    211,613       X        28-12020   208513         0       0
DIRECTV GROUP INC              COM            25459L106        929,000     40,569       X        28-12020    39504         0    1065
DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104         37,000      2,661       X        28-12020     2585         0      76
DISH NETWORK CORP              CL A           25470M109        475,000     42,805       X        28-12020    41937         0     868
DIVIDEND CAP RLTY INCM ALLC    COM            25537T105         11,000      5,587       X        28-12020     5587         0       0
DOLBY LABORATORIES INC         COM            25659T107        237,000      7,249       X        28-12020     7149         0     100
DOMINION RES INC VA NEW        COM            25746U109     64,601,000  1,802,463       X        28-12020  1738632         0   63831
DOMINOS PIZZA INC              COM            25754A201          5,000      1,015       X        28-12020     1015         0       0
DOUGLAS EMMETT INC             COM            25960P109         18,000      1,345       X        28-12020     1345         0       0
DREAMWORKS ANIMATION SK G INC  CL A           26153C103         32,000      1,269       X        28-12020     1269         0       0
DREW INDS INC                  COM NEW        26168L205          5,000        407       X        28-12020      407         0       0
DREYFUS MUN INCOME INC         COM            26201R102         16,000      2,513       X        28-12020     2513         0       0
DREYFUS STRATEGIC MUN B D FD   COM            26202F107         18,000      3,200       X        28-12020     3200         0       0
DUFF & PHELPS UTIL CORP BD T   COM            26432K108         19,000      1,900       X        28-12020     1900         0       0
DUKE ENERGY CORP NEW           COM            26441C105     15,663,000  1,043,515       X        28-12020  1001981         0   41534
DYNAMEX INC                    COM            26784F103          6,000        424       X        28-12020      424         0       0
DYNCORP INTL INC               CL A           26817C101         22,000      1,431       X        28-12020     1431         0       0
DYNEGY INC DEL                 CL A           26817G102         49,000     24,514       X        28-12020    24514         0       0
E M C CORP MASS                NOTE
                               1.750%12/0     268648AM4          3,000      3,000       X        28-12020     3000         0       0
EMS TECHNOLOGIES INC           COM            26873N108         50,000      1,960       X        28-12020      560         0    1400







PAGE 375 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENSCO INTL INC                 COM            26874Q100        827,000     29,136       X        28-12020    29136         0       0
ENI S P A                      SPONSORED ADR  26874R108         33,000        710       X        28-12020      710         0       0
EOG RES INC                    COM            26875P101      8,516,000    127,905       X        28-12020   127452         0     343
EPIQ SYS INC                   COM            26882D109          1,000         41       X        28-12020       41         0       0
ESB FINL CORP                  COM            26884F102         27,000      2,475       X        28-12020     2475         0       0
EAGLE MATERIALS INC            COM            26969P108          8,000        435       X        28-12020      435         0       0
EAST WEST BANCORP INC          COM            27579R104         10,000        632       X        28-12020      632         0       0
EATON VANCE OH MUNI INC OME T  SH BEN INT     27826G109         13,000      1,506       X        28-12020     1506         0       0
EATON VANCE SR INCOME T R      SH BEN INT     27826S103         17,000      5,005       X        28-12020     3946         0    1059
EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108         13,000      1,680       X        28-12020     1680         0       0
EATON VANCE INS MUN BD FD II   COM            27827K109          9,000      1,000       X        28-12020     1000         0       0
EATON VANCE INS MUN BD FD      COM            27827X101         25,000      2,875       X        28-12020     2875         0       0
EATON VANCE LTD DUR INC OME F  COM            27828H105         54,000      5,503       X        28-12020     5503         0       0
EATON VANCE INS MA MUN BD FD   COM            27828K108         20,000      1,960       X        28-12020     1960         0       0
EATON VANCE TX MGD DIV EQ IN   COM            27828N102         57,000      5,234       X        28-12020        0         0    5234
EATON VANCE SR FLTNG RT E TR   COM            27828Q105         23,000      2,950       X        28-12020     2950         0       0
EATON VANCE TX MNG BY W RT OP  COM            27828Y108          8,000        750       X        28-12020      750         0       0
EATON VANCE TXMGD GL BU YWR O  COM            27829C105         28,000      2,800       X        28-12020        0         0    2800
EATON VANCE TAX MNG GBL DV E   COM            27829F108         35,000      3,599       X        28-12020     3349         0     250
EL PASO CORP                   COM            28336L109        368,000     46,916       X        28-12020    40996         0    5920
ELIZABETH ARDEN INC            COM            28660G106          1,000         47       X        28-12020       47         0       0
ELIXIR GAMING TECHNOLOG IES I  COM            28661G105          1,000      6,133       X        28-12020     6133         0       0
EMBRAER-EMPRESA BRASILE IRA D  SP ADR COM SHS 29081M102        333,000     20,545       X        28-12020    19845         0     700
EMCOR GROUP INC                COM            29084Q100      1,147,000     51,147       X        28-12020    46847         0       0
EMERGENT BIOSOLUTIONS I N C    COM            29089Q105      2,970,000    113,752       X        28-12020   111052         0       0
EMERGENCY MEDICAL SVCS CORP    CL A           29100P102        698,000     19,061       X        28-12020    15661         0       0
ENBRIDGE INC                   COM            29250N105         31,000        946       X        28-12020      946         0       0
ENBRIDGE ENERGY PARTNER S L P  COM            29250R106         85,000      3,359       X        28-12020     2059         0    1300
ENCORE ACQUISITION CO          COM            29255W100      1,991,000     78,028       X        28-12020    78028         0       0
ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106        154,000     11,850       X        28-12020     6850         0    5000
ENDO PHARMACEUTICALS HL DGS I  COM            29264F205      3,527,000    136,269       X        28-12020   136269         0       0







PAGE 376 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENERGEN CORP                   COM            29265N108     18,237,000    621,766       X        28-12020   597396         0   24370
ENERGIZER HLDGS INC            COM            29266R108        159,000      2,931       X        28-12020     1721         0    1210
ENDOLOGIX INC                  COM            29266S106          7,000      6,000       X        28-12020        0         0    6000
ENERGY PARTNERS LTD            COM            29270U105          7,000      5,306       X        28-12020     5306         0       0
ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109        314,000      9,237       X        28-12020     7237         0    2000
ENERGY TRANSFER EQUITY L P     COM UT LTD PTN 29273V100          8,000        500       X        28-12020        0         0     500
ENERPLUS RES FD                UNIT TR G NEW  29274D604         35,000      1,735       X        28-12020      645         0    1090
ENERSYS                        COM            29275Y102              0         26       X        28-12020       26         0       0
ENPRO INDS INC                 COM            29355X107        381,000     17,706       X        28-12020    14606         0       0
ENSIGN GROUP INC               COM            29358P101        487,000     29,100       X        28-12020    29100         0       0
ENTEGRIS INC                   COM            29362U104          7,000      3,379       X        28-12020     1989         0    1390
ENTERGY CORP NEW               COM            29364G103      1,445,000     17,374       X        28-12020    16102         0    1272
ENTERGY CORP NEW               COM            29364G103         53,000        700       X        28-12020      700         0       0
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        839,000     28,152       X        28-12020    24452         0       0
ENTRAVISION COMMUNICATI ONS C  CL A           29382R107              0        169       X        28-12020      169         0       0
ENVIRONMENTAL PWR CORP         COM NEW        29406L201              0        200       X        28-12020      200         0       0
EPICOR SOFTWARE CORP           COM            29426L108          1,000        247       X        28-12020      247         0       0
EQUINIX INC                    COM NEW        29444U502         34,000        648       X        28-12020      648         0       0
EQUITY RESIDENTIAL             SH BEN INT     29476L107        549,000     18,410       X        28-12020    18410         0       0
ERESEARCHTECHNOLOGY INC        COM            29481V108          2,000        321       X        28-12020      321         0       0
ERIE INDTY CO                  CL A           29530P102    275,361,000  7,317,600       X        28-12020  5410866         0 1906734
ESSA BANCORP INC               COM            29667D104        835,000     59,125       X        28-12020    59125         0       0
ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101          2,000         37       X        28-12020       37         0       0
EVERGREEN INCOME ADVANT AGE F  COM SHS        30023Y105          4,000        777       X        28-12020      777         0       0
EVERGREEN ENERGY INC           COM            30024B104          1,000      4,688       X        28-12020     4688         0       0
EVERGREEN GBL DIVID OPP FUND   COM            30024H101         25,000      2,617       X        28-12020     2617         0       0
EVERGREEN MULTI SECT IN C FUN  COM SHS        30024Y104         26,000      2,500       X        28-12020        0         0    2500
EVERGREEN SOLAR INC            COM            30033R108         10,000      3,090       X        28-12020     3090         0       0
EXELON CORP                    COM            30161N101     72,345,000  1,300,932       X        28-12020  1257656         0   43276
EXELON CORP                    COM            30161N101      2,860,000      2,000       X        28-12020     2000         0       0
EXELIXIS INC                   COM            30161Q104          4,000        850       X        28-12020      850         0       0







PAGE 377 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EXPEDIA INC DEL                COM            30212P105         67,000      8,073       X        28-12020     8073         0       0
EXPONENT INC                   COM            30214U102      1,302,000     43,300       X        28-12020    43300         0       0
EXPRESS 1 EXPEDITED SOL UTION  COM            30217Q108          8,000      7,000       X        28-12020     7000         0       0
EXTRA SPACE STORAGE INC        COM            30225T102        902,000     87,445       X        28-12020    74745         0       0
EXTERRAN HLDGS INC             COM            30225X103         17,000        805       X        28-12020      805         0       0
EXXON MOBIL CORP               COM            30231G102    682,566,000  8,550,243       X        28-12020  7882813         0  667430
EXXON MOBIL CORP               COM            30231G102     29,359,000    178,900       X        28-12020   178700         0     200
FBL FINL GROUP INC             CL A           30239F106              0         25       X        28-12020       25         0       0
FEI CO                         COM            30241L109         14,000        725       X        28-12020      725         0       0
FMC TECHNOLOGIES INC           COM            30249U101         50,000      2,135       X        28-12020     2135         0       0
FPB BANCORP INC                COM            30254M101          2,000      1,102       X        28-12020     1102         0       0
FACET BIOTECH CORP             SHS            30303Q103          5,000        491       X        28-12020      491         0       0
FEDEX CORP                     COM            31428X106      1,540,000     23,994       X        28-12020    23932         0      62
FEDFIRST FINL CORP             COM            31429X105         73,000     17,000       X        28-12020    17000         0       0
FELCOR LODGING TR INC          COM            31430F101          9,000      4,967       X        28-12020     4967         0       0
FIBERTOWER CORP                COM            31567R100              0      1,000       X        28-12020        0         0    1000
FIDELITY NATL INFORMATI ON SV  COM            31620M106        208,000     12,772       X        28-12020    12772         0       0
FIDELITY NATIONAL FINAN CIAL   CL A           31620R105         74,000      4,173       X        28-12020     4173         0       0
FINISAR                        COM            31787A101          4,000     10,913       X        28-12020    10913         0       0
FIRST ADVANTAGE CORP           CL A           31845F100        363,000     25,676       X        28-12020    21876         0       0
FIRST CASH FINL SVCS IN C      COM            31942D107         73,000      3,833       X        28-12020     3833         0       0
FIRST CTZNS BANCSHARES INC N   CL A           31946M103         26,000        168       X        28-12020      168         0       0
FIRST CMNTY BANCSHARES INC N   COM            31983A103        130,000      3,742       X        28-12020     3742         0       0
FIRST FINL BANKSHARES          COM            32020R109         24,000        434       X        28-12020      434         0       0
FIRST INDUSTRIAL REALTY TRUS   COM            32054K103          9,000      1,263       X        28-12020     1263         0       0
FIRST NIAGARA FINL GP I N C    COM            33582V108      1,522,000     94,105       X        28-12020    77705         0       0
FIRST POTOMAC RLTY TR          COM            33610F109          2,000        287       X        28-12020      287         0       0
FIRST PL FINL CORP             COM            33610T109        345,000     90,000       X        28-12020    90000         0       0
FIRST SOUTH BANCORP INC VA     COM            33646W100          5,000        403       X        28-12020      403         0       0
FIRST ST FINL CORP FLA         COM            33708M206          2,000      2,027       X        28-12020     2027         0       0
FIRST TR VALUE LINE 100 ETF    COM SHS        33735G107          9,000      1,000       X        28-12020     1000         0       0







PAGE 378 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FIRSTSERVICE CORP              SUB VTG SH     33761N109      4,653,000    355,699       X        28-12020   355699         0       0
FLOWSERVE CORP                 COM            34354P105        301,000      5,862       X        28-12020     5862         0       0
FOCUS MEDIA HLDG LTD           SPONSORED ADR  34415V109          5,000        500       X        28-12020      500         0       0
FORGENT NETWORKS INC           COM            34629U103              0      1,500       X        28-12020        0         0    1500
FOUNDATION COAL HLDGS I N C    COM            35039W100         12,000        832       X        28-12020      832         0       0
FRANCE TELECOM                 SPONSORED ADR  35177Q105         22,000        767       X        28-12020      132         0     635
FRANKLIN STREET PPTYS C ORP    COM            35471R106        499,000     33,860       X        28-12020    33860         0       0
FRANKLIN TEMPLETON LTD DUR I   COM            35472T101         29,000      3,400       X        28-12020     3400         0       0
FREEPORT-MCMORAN COPPER & GO   COM            35671D857        981,000     40,150       X        28-12020    39720         0     430
FRONTIER COMMUNICATIONS CORP   COM            35906A108      7,782,000    890,355       X        28-12020   848717         0   41638
FRONTIER FINL CORP WASH        COM            35907K105          4,000        919       X        28-12020      919         0       0
FRONTIER OIL CORP              COM            35914P105         27,000      2,138       X        28-12020     2138         0       0
FUELCELL ENERGY INC            COM            35952H106         14,000      3,480       X        28-12020     3480         0       0
FUEL SYS SOLUTIONS INC         COM            35952W103          6,000        168       X        28-12020      168         0       0
FUJIFILM HLDGS CORP            ADR 2 ORD      35958N107          3,000        152       X        28-12020      152         0       0
FUQI INTERNATIONAL INC         COM NEW        36102A207         27,000      4,225       X        28-12020     4225         0       0
GEO GROUP INC                  COM            36159R103          5,000        279       X        28-12020      279         0       0
GABELLI DIVD & INCOME T R      COM            36242H104         79,000      7,680       X        28-12020     2680         0    5000
GABELLI GLB GLD NAT RES & IN   COM SHS BN INT 36244N109         16,000      1,200       X        28-12020     1200         0       0
GABELLI HLTHCARE & WELL NESS   SHS            36246K103              0         20       X        28-12020       20         0       0
GAIAM INC                      CL A           36268Q103          2,000        401       X        28-12020      401         0       0
GAMESTOP CORP NEW              CL A           36467W109        318,000     14,716       X        28-12020    14716         0       0
GEN-PROBE INC NEW              COM            36866T103         38,000        897       X        28-12020      897         0       0
GENESIS LEASE LTD              ADR            37183T107          3,000      1,000       X        28-12020     1000         0       0
GENOMIC HEALTH INC             COM            37244C101          7,000        356       X        28-12020      356         0       0
GENTIVA HEALTH SERVICES INC    COM            37247A102          2,000         55       X        28-12020       55         0       0
GENWORTH FINL INC              COM CL A       37247D106         73,000     25,892       X        28-12020    25492         0     400
GEOGLOBAL RESOURCES INC        COM            37249T109          5,000      3,395       X        28-12020     3395         0       0
GEOEYE INC                     COM            37250W108         11,000        590       X        28-12020      590         0       0
GLACIER BANCORP INC NEW        COM            37637Q105      4,421,000    232,457       X        28-12020   232457         0       0
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105     18,611,000    499,350       X        28-12020   490571         0    8779







PAGE 379 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GLG PARTNERS INC               COM            37929X107          4,000      1,663       X        28-12020     1663         0       0
GLOBAL PMTS INC                COM            37940X102        472,000     14,398       X        28-12020    14398         0       0
GMX RES INC                    COM            38011M108          3,000        126       X        28-12020      126         0       0
GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106          4,000        418       X        28-12020      418         0       0
GOLDMAN SACHS GROUP INC        COM            38141G104     27,347,000    324,051       X        28-12020   314003         0    9979
GOOGLE INC                     CL A           38259P508     36,133,000    117,453       X        28-12020   113980         0    3373
GRACE W R & CO DEL NEW         COM            38388F108         12,000      2,097       X        28-12020     2097         0       0
GRAN TIERRA ENERGY INC         COM            38500T101          4,000      1,422       X        28-12020     1422         0       0
GREATBATCH INC                 COM            39153L106        810,000     30,627       X        28-12020    30627         0       0
GUARANTY FINL GROUP INC        COM            40108N106          2,000        987       X        28-12020      987         0       0
HCP INC                        COM            40414L109      4,258,000    153,300       X        28-12020   148384         0    4916
HDFC BANK LTD                  ADR REPS 3 SHS 40415F101         90,000      1,265       X        28-12020     1265         0       0
HLTH CORPORATION               COM            40422Y101         31,000      3,003       X        28-12020     3003         0       0
HMS HLDGS CORP                 COM            40425J101          3,000         99       X        28-12020       99         0       0
HRPT PPTYS TR                  COM SH BEN INT 40426W101         12,000      3,654       X        28-12020     3654         0       0
HALLMARK FINL SVCS INC EC      COM NEW        40624Q203          7,000        848       X        28-12020      848         0       0
HANCOCK JOHN PFD INCOME FD I   COM            41013X106          5,000        400       X        28-12020      400         0       0
HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208        128,000      8,811       X        28-12020     8811         0       0
HARVEST ENERGY TR              TRUST UNIT     41752X101         18,000      2,000       X        28-12020     2000         0       0
HASBRO INC                     DBCV
                               2.750%12/0     418056AN7          1,000      1,000       X        28-12020     1000         0       0
HEADWATERS INC                 COM            42210P102         11,000      1,627       X        28-12020     1627         0       0
HEALTH CARE REIT INC           COM            42217K106        541,000     12,801       X        28-12020    12801         0       0
HEALTH NET INC                 COM            42222G108         18,000      1,666       X        28-12020     1666         0       0
HEALTHSPRING INC               COM            42224N101        854,000     42,766       X        28-12020    35566         0       0
HEARTLAND FINL USA INC         COM            42234Q102          8,000        409       X        28-12020      409         0       0
HEARTLAND PMT SYS INC          COM            42235N108        130,000      7,400       X        28-12020     7400         0       0
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107          8,000      1,214       X        28-12020     1214         0       0
HERTZ GLOBAL HOLDINGS I N C    COM            42805T105         18,000      3,714       X        28-12020     3714         0       0
HESS CORP                      COM            42809H107        829,000     15,467       X        28-12020    15467         0       0
HEWITT ASSOCS INC              COM            42822Q100         44,000      1,561       X        28-12020     1561         0       0
HIGHLAND CR STRATEGIES FD      COM            43005Q107          2,000        319       X        28-12020      319         0       0







PAGE 380 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HITTITE MICROWAVE CORP         COM            43365Y104          6,000        200       X        28-12020      200         0       0
HORIZON FINL CORP WASH         COM            44041F105          5,000      1,000       X        28-12020     1000         0       0
HORIZON LINES INC              COM            44044K101          4,000      1,113       X        28-12020     1113         0       0
HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102         49,000      3,231       X        28-12020     3231         0       0
HOST HOTELS & RESORTS I N C    COM            44107P104        271,000     35,798       X        28-12020    35798         0       0
HOUSTON WIRE & CABLE CO        COM            44244K109      2,547,000    273,572       X        28-12020   273572         0       0
HYPERCOM CORP                  COM            44913M105          3,000      2,543       X        28-12020     2543         0       0
HYTHIAM INC                    COM            44919F104          4,000     10,000       X        28-12020    10000         0       0
IAC INTERACTIVECORP            COM PAR $.001  44919P508         22,000      1,379       X        28-12020     1379         0       0
ICF INTL INC                   COM            44925C103      5,202,000    211,719       X        28-12020   211719         0       0
ICT GROUP INC                  COM            44929Y101          5,000      1,200       X        28-12020        0         0    1200
ICU MED INC                    COM            44930G107          1,000         16       X        28-12020       16         0       0
ICX TECHNOLOGIES INC           COM            44934T105          2,000        200       X        28-12020      200         0       0
I-MANY INC                     COM            44973Q103          3,000     15,000       X        28-12020    15000         0       0
IPG PHOTONICS CORP             COM            44980X109          4,000        300       X        28-12020      300         0       0
IPCS INC                       COM NEW        44980Y305          2,000        294       X        28-12020      294         0       0
ING CLARION GLB RE EST INCM    COM            44982G104         36,000      9,074       X        28-12020     9042         0      32
ING GLBL ADV & PREM OPP FUND   COM            44982N109          3,000        225       X        28-12020      225         0       0
ISTAR FINL INC                 COM            45031U101          6,000      2,504       X        28-12020     2504         0       0
ITT EDUCATIONAL SERVICE S INC  COM            45068B109        398,000      4,192       X        28-12020     4192         0       0
IXIA                           COM            45071R109              0         45       X        28-12020       45         0       0
ICON PUB LTD CO                SPONSORED ADR  45103T107      1,647,000     83,620       X        28-12020    83620         0       0
IDENIX PHARMACEUTICALS INC     COM            45166R204          9,000      1,602       X        28-12020     1602         0       0
IDEX CORP                      COM            45167R104      4,777,000    197,805       X        28-12020   197805         0       0
IDEXX LABS INC                 COM            45168D104        240,000      6,651       X        28-12020     6651         0       0
IGATE CORP                     COM            45169U105          5,000        805       X        28-12020      805         0       0
IMAGE SENSING SYS INC          COM            45244C104          2,000        300       X        28-12020      300         0       0
IMATION CORP                   COM            45245A107         14,000      1,077       X        28-12020     1077         0       0
INCYTE CORP                    COM            45337C102          3,000        826       X        28-12020      826         0       0
INFINEON TECHNOLOGIES A G      SPONSORED ADR  45662N103          1,000        673       X        28-12020      673         0       0
INFINITY PPTY & CAS COR P      COM            45665Q103         16,000        337       X        28-12020      337         0       0







PAGE 381 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INFORMATICA CORP               COM            45666Q102        496,000     36,125       X        28-12020    36125         0       0
INFINERA CORPORATION           COM            45667G103          8,000        894       X        28-12020      894         0       0
INFOGROUP INC                  COM            45670G108          6,000      1,327       X        28-12020     1327         0       0
INFOSPACE INC                  COM NEW        45678T201          6,000        844       X        28-12020      844         0       0
INSIGHT ENTERPRISES INC        COM            45765U103          7,000        953       X        28-12020      953         0       0
INNOSPEC INC                   COM            45768S105          5,000        895       X        28-12020      895         0       0
INOVIO BIOMEDICAL CORP         COM            45773H102          1,000      2,500       X        28-12020        0         0    2500
INNOPHOS HOLDINGS INC          COM            45774N108         14,000        700       X        28-12020      700         0       0
INSTEEL INDUSTRIES INC         COM            45774W108        275,000     24,358       X        28-12020    19658         0       0
INTEGRAL SYS INC MD            COM            45810H107        917,000     76,102       X        28-12020    76102         0       0
INTEL CORP                     SDCV
                               2.950%12/1     458140AD2          4,000      5,000       X        28-12020     5000         0       0
INTEGRA BK CORP                COM            45814P105              0         15       X        28-12020       15         0       0
INTEGRYS ENERGY GROUP I N C    COM            45822P105        440,000     10,219       X        28-12020    10219         0       0
INTERACTIVE DATA CORP          COM            45840J107         21,000        834       X        28-12020      834         0       0
INTERACTIVE BROKERS GRO UP IN  COM            45841N107      1,127,000     62,985       X        28-12020    56185         0       0
INTERCONTINENTALEXCHANG E INC  COM            45865V100        610,000      7,409       X        28-12020     7409         0       0
INTERDIGITAL INC               COM            45867G101         11,000        394       X        28-12020      394         0       0
INTERNATIONAL COAL GRP INC N   COM            45928H106          1,000        245       X        28-12020      245         0       0
INTERNET CAP GROUP INC         COM NEW        46059C205              0         10       X        28-12020       10         0       0
INTERSIL CORP                  CL A           46069S109         15,000      1,620       X        28-12020     1620         0       0
INTERVAL LEISURE GROUP INC     COM            46113M108          3,000        551       X        28-12020      551         0       0
INTERWOVEN INC                 COM NEW        46114T508      2,095,000    166,283       X        28-12020   166283         0       0
INTUITIVE SURGICAL INC         COM NEW        46120E602        419,000      3,300       X        28-12020     3300         0       0
INTREPID POTASH INC            COM            46121Y102          6,000        305       X        28-12020      305         0       0
INVERNESS MED INNOVATIO NS IN  COM            46126P106         22,000      1,173       X        28-12020     1173         0       0
INVESTMENT TECHNOLOGY G RP NE  COM            46145F105         15,000        644       X        28-12020      644         0       0
INVESTORS BANCORP INC          COM            46146P102         15,000      1,129       X        28-12020     1129         0       0
IPASS INC                      COM            46261V108          1,000      1,000       X        28-12020     1000         0       0
ISHARES SILVER TRUST           ISHARES        46428Q109         36,000      3,196       X        28-12020     3196         0       0
ISHARES S&P GSCI COMMOD ITY I  UNIT BEN INT   46428R107        211,000      7,367       X        28-12020     7367         0       0
IVANHOE MINES LTD              COM            46579N103              0        179       X        28-12020      179         0       0







PAGE 382 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
J CREW GROUP INC               COM            46612H402          5,000        400       X        28-12020      400         0       0
JDS UNIPHASE CORP              COM PAR $0.001 46612J507         44,000     11,948       X        28-12020    11948         0       0
JDA SOFTWARE GROUP INC         COM            46612K108         23,000      1,711       X        28-12020      911         0     800
JER INVT TR INC                COM            46614H301          1,000      1,309       X        28-12020     1309         0       0
JPMORGAN & CHASE & CO          COM            46625H100    132,408,000  4,199,418       X        28-12020  4057341         0  141810
JANUS CAP GROUP INC            COM            47102X105         71,000      8,813       X        28-12020     8813         0       0
JEWETT CAMERON TRADING LTD     COM NEW        47733C207          3,000        500       X        28-12020      500         0       0
JO-ANN STORES INC              COM            47758P307         10,000        650       X        28-12020      650         0       0
JONES LANG LASALLE INC         COM            48020Q107         17,000        621       X        28-12020      621         0       0
JUNIPER NETWORKS INC           COM            48203R104        530,000     30,279       X        28-12020    30189         0      90
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105          4,000        145       X        28-12020      145         0       0
KBR INC                        COM            48242W106     30,162,000  1,984,369       X        28-12020  1905836         0   78533
KT CORP                        SPONSORED ADR  48268K101          4,000        276       X        28-12020      276         0       0
KADANT INC                     COM            48282T104        288,000     21,344       X        28-12020    17244         0       0
KAPSTONE PAPER & PACKAG ING C  COM            48562P103          3,000      1,200       X        28-12020     1200         0       0
KAYNE ANDERSON ENRGY TT L RT   COM            48660P104         16,000      1,400       X        28-12020     1400         0       0
KB HOME                        COM            48666K109         48,000      3,517       X        28-12020     3517         0       0
KENDLE INTERNATIONAL IN C      COM            48880L107        218,000      8,462       X        28-12020      462         0    8000
KILROY RLTY CORP               COM            49427F108         23,000        709       X        28-12020      709         0       0
KIMCO REALTY CORP              COM            49446R109        412,000     22,531       X        28-12020    21031         0    1500
KINETIC CONCEPTS INC           COM NEW        49460W208        211,000     11,016       X        28-12020    11016         0       0
KOPPERS HOLDINGS INC           COM            50060P106        448,000     20,768       X        28-12020    20768         0       0
KRAFT FOODS INC                CL A           50075N104     24,340,000    906,518       X        28-12020   810607         0   95911
LDK SOLAR CO LTD               SPONSORED ADR  50183L107          7,000        500       X        28-12020      500         0       0
LSI INDS INC                   COM            50216C108        238,000     34,647       X        28-12020    34647         0       0
LABORATORY CORP AMER HL DGS    COM NEW        50540R409     14,633,000    227,197       X        28-12020   223472         0    3725
LANDAUER INC                   COM            51476K103        433,000      5,900       X        28-12020     5700         0     200
LANDRYS RESTAURANTS INC        COM            51508L103          6,000        486       X        28-12020      486         0       0
LAWSON SOFTWARE INC NEW        COM            52078P102          5,000        967       X        28-12020      967         0       0
LAZARD GLB TTL RET&INCM FD I   COM            52106W103          3,000        250       X        28-12020      250         0       0
LEHMAN BROS HLDGS INC ETN OPTA ED             52522L731              0        427       X        28-12020      427         0       0







PAGE 383 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LEVEL 3 COMMUNICATIONS INC     COM            52729N100         23,000     32,753       X        28-12020    26939         0    5814
LIBERTY MEDIA CORP NEW         INT COM SER A  53071M104         32,000     10,319       X        28-12020     9628         0     691
LIBERTY MEDIA CORP NEW         CAP COM SER A  53071M302         14,000      2,973       X        28-12020     2835         0     138
LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500        150,000      8,584       X        28-12020     8032         0     552
LIFE PARTNERS HOLDINGS INC     COM            53215T106        556,000     12,731       X        28-12020    12731         0       0
LIFE TIME FITNESS INC          COM            53217R207         13,000        977       X        28-12020      606         0     371
LIFE TECHNOLOGIES CORP         COM            53217V109        354,000     15,197       X        28-12020    15091         0     106
LIFEPOINT HOSPITALS INC        COM            53219L109      2,398,000    105,022       X        28-12020   105022         0       0
LIGAND PHARMACEUTICALS INC     CL B           53220K207         14,000      5,105       X        28-12020     4105         0    1000
LIMELIGHT NETWORKS INC         COM            53261M104          3,000      1,421       X        28-12020     1421         0       0
LIQUIDITY SERVICES INC         COM            53635B107          4,000        488       X        28-12020      488         0       0
M & T BK CORP                  COM            55261F104        228,000      3,974       X        28-12020     3974         0       0
MBIA INC                       COM            55262C100         52,000     12,833       X        28-12020    12833         0       0
MB FINANCIAL INC NEW           COM            55264U108        544,000     19,443       X        28-12020    16143         0       0
MFA MTG INVTS INC              COM            55272X102         14,000      2,407       X        28-12020     2407         0       0
MFS INTER INCOME TR            SH BEN INT     55273C107         37,000      5,900       X        28-12020     5900         0       0
MGE ENERGY INC                 COM            55277P104         15,000        454       X        28-12020      454         0       0
M/I HOMES INC                  COM            55305B101          3,000        285       X        28-12020      285         0       0
MKS INSTRUMENT INC             COM            55306N104        752,000     50,867       X        28-12020    43767         0       0
MSCI INC                       CL A           55354G100          3,000        193       X        28-12020      193         0       0
MWI VETERINARY SUPPLY I N C    COM            55402X105          3,000         93       X        28-12020       93         0       0
MACQUARIE FT TR GB INF UT DI   COM            55607W100          8,000        847       X        28-12020      847         0       0
MACQUARIE GLBL INFRA TO TL RE  COM            55608D101          6,000        500       X        28-12020      500         0       0
MACROVISION SOLUTIONS C ORP    COM            55611C108         12,000        934       X        28-12020      934         0       0
MACYS INC                      COM            55616P104        844,000     81,579       X        28-12020    65325         0   16254
MAGELLAN MIDSTREAM HLDG S LP   COM LP INTS    55907R108         14,000      1,000       X        28-12020     1000         0       0
MAINSOURCE FINANCIAL GP INC    COM            56062Y102         11,000        692       X        28-12020      692         0       0
MANNKIND CORP                  COM            56400P201          9,000      2,746       X        28-12020     2746         0       0
MANPOWER INC                   COM            56418H100         64,000      1,903       X        28-12020     1903         0       0
MANULIFE FINL CORP             COM            56501R106        766,000     44,971       X        28-12020    42553         0    2418
MARCHEX INC                    CL B           56624R108              0         20       X        28-12020       20         0       0







PAGE 384 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MARINER ENERGY INC             COM            56845T305         65,000      6,402       X        28-12020     6402         0       0
MARKETAXESS HLDGS INC          COM            57060D108          1,000         68       X        28-12020       68         0       0
MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100         68,000      1,995       X        28-12020     1995         0       0
MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605          6,000        200       X        28-12020      200         0       0
MARVEL ENTERTAINMENT IN C      COM            57383T103        302,000      9,815       X        28-12020     9815         0       0
MASTECH HOLDINGS INC           COM            57633B100              0         53       X        28-12020       53         0       0
MASTERCARD INC                 CL A           57636Q104        686,000      4,796       X        28-12020     4589         0     207
MAXIM INTEGRATED PRODS INC     COM            57772K101      2,436,000    213,267       X        28-12020   213267         0       0
MCG CAPITAL CORP               COM            58047P107          1,000      1,341       X        28-12020     1341         0       0
MCKESSON CORP                  COM            58155Q103        593,000     15,306       X        28-12020    14906         0     400
MEADOWBROOK INS GROUP I N C    COM            58319P108        619,000     96,099       X        28-12020    80449         0       0
MEDCO HEALTH SOLUTIONS INC     COM            58405U102     53,133,000  1,267,772       X        28-12020  1221360         0   46412
MEDICAL PPTYS TRUST INC        COM            58463J304         11,000      1,715       X        28-12020     1715         0       0
MEDIS TECHNOLOGIES LTD         COM            58500P107          1,000      2,612       X        28-12020     2612         0       0
MEDTRONIC INC                  NOTE
                               1.625% 4/1     585055AM8          3,000      3,000       X        28-12020     3000         0       0
MERCADOLIBRE INC               COM            58733R102          9,000        576       X        28-12020      576         0       0
MERCANTILE BANCORP INC ILL     COM            58734P105         71,000      6,750       X        28-12020     6750         0       0
MERIDIAN RESOURCE CORP         COM            58977Q109          3,000      4,835       X        28-12020     3835         0    1000
MERITAGE HOMES CORP            COM            59001A102          9,000        748       X        28-12020      748         0       0
METHANEX CORP                  COM            59151K108      2,791,000    248,347       X        28-12020   240747         0       0
METLIFE INC                    COM            59156R108     12,802,000    367,247       X        28-12020   348297         0   18950
MFS INVT GRADE MUN TR          SH BEN INT     59318B108          4,000        650       X        28-12020      650         0       0
MFS INTERMARKET INCOME TRUST   SH BEN INT     59318R103          3,000        500       X        28-12020      500         0       0
MID-AMER APT CMNTYS INC        COM            59522J103        536,000     14,435       X        28-12020    14435         0       0
MIRANT CORP NEW                *W EXP
                               01/03/201      60467R100      2,361,000    125,181       X        28-12020   125181         0       0
MODUSLINK GLOBAL SOLUTI ONS I  COM            60786L107          5,000      1,642       X        28-12020     1642         0       0
MOLINA HEALTHCARE INC          COM            60855R100        338,000     19,185       X        28-12020    15885         0       0
MOLSON COORS BREWING CO        CL B           60871R209        477,000      9,751       X        28-12020     8596         0    1155
MONEYGRAM INTL INC             COM            60935Y109         11,000     10,508       X        28-12020    10508         0       0
MONSANTO CO NEW                COM            61166W101     44,227,000    628,665       X        28-12020   344705         0  283900
MONSANTO CO NEW                COM            61166W101     31,846,000     15,100       X        28-12020    15100         0       0







PAGE 385 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 EMER MKT S FD   COM            61744G107         19,000      2,350       X        28-12020     2350         0       0
MORGAN STANLEY EMER MKT S DEB  COM            61744H105         17,000      2,329       X        28-12020     2329         0       0
MORGAN STANLEY ASIA PAC FD I   COM            61744U106         16,000      1,500       X        28-12020     1500         0       0
MORGAN STANLEY                 MUN INC OPP II 61745P445          3,000        639       X        28-12020      639         0       0
MORGAN STANLEY                 MUN INCM OPPTN 61745P452         18,000      3,800       X        28-12020     3800         0       0
MORGAN STANLEY                 QLT MUN INV TR 61745P668         43,000      4,700       X        28-12020     4000         0     700
MORGAN STANLEY                 QUALT MUN INCM 61745P734         66,000      6,964       X        28-12020     6964         0       0
MOSAIC CO                      COM            61945A107        157,000      4,539       X        28-12020     4539         0       0
MOVE INC COM                   COM            62458M108              0         37       X        28-12020       37         0       0
MULTI FINELINE ELECTRON IX IN  COM            62541B101        631,000     53,950       X        28-12020    48450         0       0
MYRIAD GENETICS INC            COM            62855J104        229,000      3,454       X        28-12020     3454         0       0
NB & T FINL GROUP INC          COM            62874M104         25,000      1,749       X        28-12020     1749         0       0
NCI INC                        CL A           62886K104        168,000      5,571       X        28-12020     5571         0       0
NII HLDGS INC                  CL B NEW       62913F201      8,260,000    454,415       X        28-12020   446464         0    7035
NIC INC                        COM            62914B100          5,000      1,046       X        28-12020     1046         0       0
NPS PHARMACEUTICALS INC        COM            62936P103         18,000      2,921       X        28-12020        0         0    2921
NTT DOCOMO INC                 SPONS ADR      62942M201          3,000        160       X        28-12020      160         0       0
NVR INC                        COM            62944T105      3,129,000      6,859       X        28-12020     6859         0       0
NALCO HOLDING COMPANY          COM            62985Q101         37,000      3,210       X        28-12020     3210         0       0
NASDAQ PREM INCM & GRW FD IN   COM            63110R105         51,000      5,436       X        28-12020     5436         0       0
NATCO GROUP INC                CL A           63227W203          6,000        385       X        28-12020      385         0       0
NATIONAL FINL PARTNERS CORP    COM            63607P208         13,000      4,119       X        28-12020     4119         0       0
NATIONAL HEALTH INVS IN C      COM            63633D104         15,000        565       X        28-12020      565         0       0
NATIONAL INTERSTATE COR P      COM            63654U100          5,000        265       X        28-12020      265         0       0
NATURAL GAS SERVICES GR OUP    COM            63886Q109        239,000     23,600       X        28-12020    23600         0       0
NATURAL RESOURCE PARTNE RS L   COM UNIT L P   63900P103          7,000        398       X        28-12020        0         0     398
NAVIGANT CONSULTING INC        COM            63935N107      1,029,000     64,835       X        28-12020    64835         0       0
NELNET INC                     CL A           64031N108        426,000     29,736       X        28-12020    24736         0       0
NESS TECHNOLOGIES INC          COM            64104X108          1,000        296       X        28-12020      296         0       0
NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206         15,000      1,099       X        28-12020     1099         0       0
NETAPP INC                     COM            64110D104        499,000     35,665       X        28-12020    31478         0    4187







PAGE 386 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NETFLIX INC                    COM            64110L106      5,811,000    194,413       X        28-12020   193413         0    1000
NETEASE COM INC                SPONSORED ADR  64110W102      2,272,000    102,812       X        28-12020   102812         0       0
NETGEAR INC                    COM            64111Q104         22,000      1,914       X        28-12020     1914         0       0
NETLOGIC MICROSYSTEMS I N C    COM            64118B100          1,000         29       X        28-12020       29         0       0
NEUBERGER BERMAN INTER MUNI    COM            64124P101         58,000      5,086       X        28-12020     5086         0       0
NEUROCRINE BIOSCIENCES INC     COM            64125C109          1,000        437       X        28-12020      437         0       0
NEUSTAR INC                    CL A           64126X201         16,000        843       X        28-12020      843         0       0
NEWCASTLE INVT CORP            COM            65105M108          2,000      2,624       X        28-12020     2624         0       0
NEWMONT MINING CORP            NOTE
                               1.250% 7/1     651639AJ5          2,000      2,000       X        28-12020     2000         0       0
NEXTEL COMMUNICATIONS I N C    NOTE
                               5.250% 1/1     65332VAY9          3,000      4,000       X        28-12020     4000         0       0
NEXEN INC                      COM            65334H102          1,000         84       X        28-12020       84         0       0
NFJ DIVID INT & PREM ST RTGY   COM SHS        65337H109          7,000        525       X        28-12020      525         0       0
NICHOLAS APPLEGATE CV&I NC FD  COM            65370G109         40,000      9,266       X        28-12020     9266         0       0
99 CENTS ONLY STORES           COM            65440K106         61,000      5,555       X        28-12020     5555         0       0
NISOURCE INC                   COM            65473P105        318,000     28,947       X        28-12020    28547         0     400
NOMURA HLDGS INC               SPONSORED ADR  65535H208          8,000        925       X        28-12020      925         0       0
NORTHSTAR RLTY FIN CORP        COM            66704R100          9,000      2,183       X        28-12020     2183         0       0
NOVA CHEMICALS CORP            COM            66977W109        102,000     21,404       X        28-12020    21404         0       0
NOVATEL WIRELESS INC           COM NEW        66987M604              0         76       X        28-12020       76         0       0
NOVARTIS A G                   SPONSORED ADR  66987V109     55,803,000  1,121,443       X        28-12020  1095890         0   25553
NU SKIN ENTERPRISES INC        CL A           67018T105         11,000      1,009       X        28-12020     1009         0       0
NTELOS HLDGS CORP              COM            67020Q107        807,000     32,722       X        28-12020    32722         0       0
NUANCE COMMUNICATIONS I N C    COM            67020Y100         52,000      4,995       X        28-12020     3195         0    1800
NUSTAR ENERGY LP               UNIT COM       67058H102        138,000      3,355       X        28-12020     3355         0       0
NUVEEN PA PREM INCOME M UN FD  COM            67061F101         33,000      3,790       X        28-12020        0         0    3790
NUVEEN MUN ADVANTAGE FD INC    COM            67062H106        162,000     15,600       X        28-12020    15600         0       0
NUVEEN PERFORMANCE PLUS MUN    COM            67062P108         23,000      2,050       X        28-12020     2050         0       0
NUVEEN PREM INCOME MUN FD      COM            67062T100         84,000      8,166       X        28-12020     1500         0    6666
NUVEEN MUN MKT OPPORTUN ITY F  COM            67062W103         98,000      9,500       X        28-12020     9500         0       0
NUVEEN PREM INCOME MUN FD 2    COM            67063W102         53,000      5,300       X        28-12020     5300         0       0
NVIDIA CORP                    COM            67066G104        289,000     35,872       X        28-12020    34872         0    1000







PAGE 387 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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         99,000     10,000       X        28-12020    10000         0       0
NUVEEN CA DIVIDEND ADV MUN F   COM SHS        67066Y105         10,000      1,000       X        28-12020        0         0    1000
NUVEEN SR INCOME FD            COM            67067Y104          8,000      2,449       X        28-12020     2449         0       0
NUTRI SYS INC NEW              COM            67069D108         14,000        974       X        28-12020      974         0       0
NUVEEN INSD PREM INCOME MUN    COM            6706D8104         35,000      3,759       X        28-12020     3759         0       0
NUVEEN EQTY PRM OPPORTU NITYF  COM            6706EM102         16,000      1,504       X        28-12020     1504         0       0
NUVEEN DIVERSIFIED DIV INCM    COM            6706EP105          3,000        435       X        28-12020      435         0       0
NUVEEN EQUITY PREM INCO ME FD  COM            6706ER101         63,000      5,900       X        28-12020     5900         0       0
NUVEEN TAX ADV FLTG RAT E FUN  COM            6706EV102         66,000     20,779       X        28-12020        0         0   20779
NUVEEN PREM INCOME MUN FD 4    COM            6706K4105          5,000        500       X        28-12020      500         0       0
NUVEEN OH DIV ADVANTAGE MUN    COM            67070C107        148,000     13,571       X        28-12020    13571         0       0
NUVEEN DIV ADVANTAGE MU N FD   COM            67070F100         86,000      7,500       X        28-12020     7500         0       0
NUVEEN OH DIV ADV MUNI FD 2    COM SH BEN INT 67070R104         52,000      5,500       X        28-12020     5500         0       0
NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101         87,000      8,665       X        28-12020     8665         0       0
NUVEEN QUALITY PFD INCO ME FD  COM            67071S101          5,000      1,000       X        28-12020     1000         0       0
NUVEEN OHIO DIVID ADVAN TAGE   COM            67071V104         35,000      3,200       X        28-12020     3200         0       0
NUVEEN QUALITY PFD INCO ME FD  COM            67072C105         17,000      3,400       X        28-12020     3400         0       0
NUVELO INC                     COM NEW        67072M301          1,000      3,000       X        28-12020     3000         0       0
NUVEEN FLOATING RATE IN COME   COM            67072T108         10,000      1,600       X        28-12020     1600         0       0
NXSTAGE MEDICAL INC            COM            67072V103          5,000      2,023       X        28-12020     2023         0       0
NUVEEN MULTI STRAT INC & GR    COM            67073B106          2,000        350       X        28-12020        0         0     350
NUVEEN MULTI STRAT INC GR FD   COM SHS        67073D102         22,000      4,567       X        28-12020      934         0    3633
NV ENERGY INC                  COM            67073Y106         35,000      3,558       X        28-12020     3558         0       0
NUVEEN MULT CURR ST GV INCM    COM            67090N109         24,000      1,745       X        28-12020     1745         0       0
NUVEEN MICH PREM INCOME MUN    COM            67101Q109         10,000      1,085       X        28-12020      700         0     385
ODYSSEY HEALTHCARE INC         COM            67611V101              0         19       X        28-12020       19         0       0
ODYSSEY RE HLDGS CORP          COM            67612W108      1,363,000     26,316       X        28-12020    21716         0       0
OFFICEMAX INC DEL              COM            67622P101          4,000        564       X        28-12020      564         0       0
OLYMPIC STEEL INC              COM            68162K106          1,000         28       X        28-12020       28         0       0
OMEGA PROTEIN CORP             COM            68210P107          2,000        500       X        28-12020      500         0       0
OMNITURE INC                   COM            68212S109         11,000      1,055       X        28-12020     1055         0       0







PAGE 388 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
OMNICELL INC                   COM            68213N109          3,000        284       X        28-12020      284         0       0
1 800 FLOWERS COM              CL A           68243Q106          4,000      1,087       X        28-12020     1087         0       0
ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103        433,000      9,495       X        28-12020     8995         0     500
ONLINE RES CORP                COM            68273G101          2,000        483       X        28-12020      483         0       0
OPLINK COMMUNICATIONS I N C    COM NEW        68375Q403          9,000      1,068       X        28-12020     1068         0       0
ORACLE CORP                    COM            68389X105    111,908,000  6,311,760       X        28-12020  6116973         0  193057
ORBCOMM INC                    COM            68555P100          3,000      1,303       X        28-12020     1303         0       0
ORIENTAL FINL GROUP INC        COM            68618W100          5,000        821       X        28-12020      821         0       0
OSIRIS THERAPEUTICS INC        COM            68827R108          4,000        200       X        28-12020      200         0       0
P C CONNECTION                 COM            69318J100          3,000        519       X        28-12020      519         0       0
PDL BIOPHARMA INC              COM            69329Y104         15,000      2,456       X        28-12020     2456         0       0
PG&E CORP                      COM            69331C108      7,010,000    181,095       X        28-12020   181095         0       0
P F CHANGS CHINA BISTRO INC    COM            69333Y108          2,000         99       X        28-12020       99         0       0
PGT INC                        COM            69336V101        469,000    414,838       X        28-12020   414838         0       0
PMC-SIERRA INC                 COM            69344F106         15,000      3,073       X        28-12020     3073         0       0
PMI GROUP INC                  COM            69344M101          4,000      2,271       X        28-12020     2271         0       0
PNM RES INC                    COM            69349H107         12,000      1,195       X        28-12020     1195         0       0
PPL CORP                       COM            69351T106        982,000     31,972       X        28-12020    29893         0    2079
PRG-SCHULTZ INTERNATION AL IN  COM NEW        69357C503          4,000      1,051       X        28-12020     1051         0       0
PS BUSINESS PKS INC CAL IF     COM            69360J107         16,000        352       X        28-12020      352         0       0
PSS WORLD MED INC              COM            69366A100         11,000        588       X        28-12020      588         0       0
PACER INTL INC TENN            COM            69373H106      1,388,000    133,042       X        28-12020   118842         0       0
PACIFIC CAP BANCORP NEW        COM            69404P101         26,000      1,546       X        28-12020     1546         0       0
PACIFIC ETHANOL INC            COM            69423U107          2,000      4,299       X        28-12020     4299         0       0
PANASONIC CORP                 ADR            69832A205         45,000      3,611       X        28-12020     3611         0       0
PANERA BREAD CO                CL A           69840W108        472,000      9,048       X        28-12020     9048         0       0
PAR PHARMACEUTICAL COS INC     COM            69888P106          7,000        528       X        28-12020      528         0       0
PARKWAY PPTYS INC              COM            70159Q104          5,000        250       X        28-12020      250         0       0
PARTNER COMMUNICATIONS CO LT   ADR            70211M109      1,338,000     81,097       X        28-12020    81097         0       0
PARTICLE DRILLING TECHN OLOGI  COM            70212G101         17,000    157,888       X        28-12020   157888         0       0
PATRIOT COAL CORP              COM            70336T104         38,000      5,964       X        28-12020     5964         0       0







PAGE 389 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PENSKE AUTOMOTIVE GRP I N C    COM            70959W103          9,000      1,160       X        28-12020     1160         0       0
PEPSIAMERICAS INC              COM            71343P200        116,000      5,726       X        28-12020     5726         0       0
PERFICIENT INC                 COM            71375U101          4,000        857       X        28-12020      857         0       0
PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101          8,000        400       X        28-12020      400         0       0
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      5,658,000    231,034       X        28-12020   227034         0    4000
PHARMERICA CORP                COM            71714F104        473,000     30,180       X        28-12020    30180         0       0
PHASE FORWARD INC              COM            71721R406          3,000        240       X        28-12020      240         0       0
PIMCO MUNICIPAL INCOME FD      COM            72200R107          8,000      1,000       X        28-12020     1000         0       0
PIMCO CORPORATE INCOME FD      COM            72200U100         18,000      1,565       X        28-12020     1565         0       0
PIMCO STRATEGIC GBL GOV FD I   COM            72200X104         14,000      1,690       X        28-12020     1690         0       0
PIMCO MUN INCOME FD III        COM            72201A103         17,000      2,600       X        28-12020     2600         0       0
PIMCO CORPORATE OPP FD         COM            72201B101         35,000      3,320       X        28-12020     3320         0       0
PIMCO FLOATING RATE INC OME F  COM            72201H108          9,000      1,300       X        28-12020     1300         0       0
PIMCO FLOATING RATE STR TGY F  COM            72201J104         20,000      3,272       X        28-12020     3272         0       0
PINNACLE FINL PARTNERS INC     COM            72346Q104      4,012,000    134,572       X        28-12020   134572         0       0
PLUG POWER INC                 COM            72919P103              0        100       X        28-12020      100         0       0
POLYCOM INC                    COM            73172K104         12,000        868       X        28-12020      868         0       0
POLYONE CORP                   COM            73179P106         17,000      5,474       X        28-12020     5474         0       0
POOL CORPORATION               COM            73278L105         32,000      1,775       X        28-12020     1775         0       0
PORTFOLIO RECOVERY ASSO CS IN  COM            73640Q105      5,307,000    156,823       X        28-12020   155023         0       0
POTASH CORP SASK INC           COM            73755L107         32,000        437       X        28-12020      437         0       0
POWERSHARES QQQ TRUST          UNIT SER 1     73935A104      1,082,000     36,389       X        28-12020    36389         0       0
POWERSHARES DB CMDTY ID X TRA  UNIT BEN INT   73935S105         53,000      2,506       X        28-12020     2506         0       0
POWERSHARES ETF TRUST          WILDERHILL PRO 73935X161          9,000        615       X        28-12020      615         0       0
POWERSHARES ETF TRUST          PRVT EQTY PORT 73935X195          8,000      1,180       X        28-12020     1180         0       0
POWERSHARES ETF TRUST          DYNAMIC OTC PT 73935X203         27,000        800       X        28-12020      800         0       0
POWERSHARES ETF TRUST          CLEANTECH PORT 73935X278        112,000      6,187       X        28-12020     6187         0       0
POWERSHARES ETF TRUST          FINL SECT PORT 73935X377        105,000      5,829       X        28-12020     5829         0       0
POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500        162,000     18,836       X        28-12020    18836         0       0
POWERSHARES ETF TRUST          WATER RESOURCE 73935X575         16,000      1,105       X        28-12020     1105         0       0
POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609         19,000      1,752       X        28-12020     1752         0       0







PAGE 390 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)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 VL 73935X708        169,000     11,704       X        28-12020    11704         0       0
POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716          5,000        451       X        28-12020      451         0       0
POWERSHS DB MULTI SECT COMM    DB AGRICULT FD 73936B408         23,000        880       X        28-12020      880         0       0
POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T466          9,000        705       X        28-12020      705         0       0
POZEN INC                      COM            73941U102         46,000      9,014       X        28-12020     9014         0       0
PRAXAIR INC                    COM            74005P104     35,691,000    601,265       X        28-12020   590284         0   10571
PRESTIGE BRANDS HLDGS I N C    COM            74112D101        264,000     24,995       X        28-12020    24995         0       0
PRICE T ROWE GROUP INC         COM            74144T108      1,285,000     36,212       X        28-12020    35962         0     250
PRIDE INTL INC DEL             COM            74153Q102         34,000      2,128       X        28-12020     2128         0       0
PRINCIPAL FINANCIAL GRO UP IN  COM            74251V102      6,010,000    266,303       X        28-12020   262545         0    3758
PROASSURANCE CORP              COM            74267C106         25,000        476       X        28-12020      476         0       0
PROSHARES TR                   PSHS SHRT
                               S&P500         74347R503         19,000        261       X        28-12020      261         0       0
PROSHARES TR                   PSHS ULTRA
                               FINL           74347R743          5,000        750       X        28-12020      750         0       0
PROSHARES TR                   PSHS ULSHT
                               SP500          74347R883        376,000      5,300       X        28-12020     5300         0       0
PROSPECT CAPITAL CORPOR ATION  COM            74348T102        189,000     15,733       X        28-12020    15733         0       0
PROTALIX BIOTHERAPEUTIC S INC  COM            74365A101          2,000      1,177       X        28-12020     1177         0       0
PROVIDENT ENERGY TR            TR UNIT        74386K104         28,000      6,500       X        28-12020     5500         0    1000
PROVIDENT FINL SVCS INC        COM            74386T105         21,000      1,363       X        28-12020     1363         0       0
PRUDENTIAL PLC                 ADR            74435K204          8,000        594       X        28-12020      594         0       0
PSYCHIATRIC SOLUTIONS I N C    COM            74439H108         45,000      1,619       X        28-12020     1619         0       0
PUBLIC STORAGE                 COM            74460D109        776,000      9,765       X        28-12020     9707         0      58
QAD INC                        COM            74727D108          4,000        954       X        28-12020      954         0       0
QUEST DIAGNOSTICS INC          COM            74834L100        991,000     19,077       X        28-12020    19077         0       0
QUEST SOFTWARE INC             COM            74834T103         20,000      1,591       X        28-12020     1591         0       0
QUICKSILVER RESOURCES I N C    COM            74837R104          8,000      1,390       X        28-12020     1390         0       0
QUIDEL CORP                    COM            74838J101         10,000        783       X        28-12020      783         0       0
QUICKSILVER GAS SVCS LP        COM UNITS LPI  74839G106          1,000        150       X        28-12020      150         0       0
R H DONNELLEY CORP             COM NEW        74955W307          1,000      2,120       X        28-12020     2120         0       0
RSC HOLDINGS INC               COM            74972L102          3,000        400       X        28-12020      400         0       0
RTI INTL METALS INC            COM            74973W107         56,000      3,918       X        28-12020     3918         0       0
RADIANT SYSTEMS INC            COM            75025N102              0         15       X        28-12020       15         0       0







PAGE 391 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RADIO ONE INC                  CL A           75040P108         33,000     74,000       X        28-12020    74000         0       0
RANGE RES CORP                 COM            75281A109        412,000     11,997       X        28-12020    11997         0       0
RBC BEARINGS INC               COM            75524B104         10,000        485       X        28-12020      485         0       0
REALNETWORKS INC               COM            75605L104          9,000      2,488       X        28-12020     2488         0       0
RED ROBIN GOURMET BURGE RS IN  COM            75689M101         65,000      3,877       X        28-12020     3877         0       0
REDDY ICE HLDGS INC            COM            75734R105          3,000      1,794       X        28-12020     1794         0       0
REGENCY ENERGY PARTNERS L P    COM UNITS L P  75885Y107         12,000      1,500       X        28-12020     1500         0       0
REGENERON PHARMACEUTICA LS     COM            75886F107         11,000        606       X        28-12020      606         0       0
REGIONS FINANCIAL CORP NEW     COM            7591EP100        433,000     54,351       X        28-12020    53777         0     574
RELIANT ENERGY INC             COM            75952B105         74,000     12,897       X        28-12020    12097         0     800
RENT A CTR INC NEW             COM            76009N100      1,393,000     78,909       X        28-12020    68409         0       0
REPROS THERAPEUTICS INC        COM            76028H100         11,000      1,000       X        28-12020     1000         0       0
RESOURCES CONNECTION IN C      COM            76122Q105         17,000      1,040       X        28-12020     1040         0       0
RIGHTNOW TECHNOLOGIES I N C    COM            76657R106        377,000     48,720       X        28-12020    48720         0       0
ROCKFORD CORP                  COM            77316P101         38,000     60,000       X        28-12020    60000         0       0
RURBAN FINL CORP               COM            78176P108        174,000     23,000       X        28-12020    23000         0       0
RYDEX ETF TRUST                S&P 500 EQ TRD 78355W106         23,000        817       X        28-12020      817         0       0
RYDEX ETF TRUST                TOP 50 ETF     78355W205         13,000        180       X        28-12020      180         0       0
SBA COMMUNICATIONS CORP        COM            78388J106         27,000      1,641       X        28-12020     1641         0       0
SAIC INC                       COM            78390X101        277,000     14,200       X        28-12020    14200         0       0
SCBT FINANCIAL CORP            COM            78401V102         12,000        357       X        28-12020      357         0       0
SK TELECOM LTD                 SPONSORED ADR  78440P108          2,000         90       X        28-12020       90         0       0
SL GREEN RLTY CORP             COM            78440X101         36,000      1,368       X        28-12020     1368         0       0
SLM CORP                       COM            78442P106        287,000     32,165       X        28-12020    32165         0       0
SPDR TR                        UNIT SER 1     78462F103      9,532,000    105,633       X        28-12020   102343         0    3290
SPSS INC                       COM            78462K102          5,000        203       X        28-12020      203         0       0
S1 CORPORATION                 COM            78463B101         14,000      1,777       X        28-12020     1777         0       0
SPDR GOLD TRUST                GOLD SHS       78463V107        630,000      7,277       X        28-12020     7244         0      33
SPDR SERIES TRUST              LEHMN INTL ETF 78464A458        170,000      3,115       X        28-12020     3115         0       0
SPDR SERIES TRUST              SPDR KBW
                               BK ETF         78464A797          1,000         62       X        28-12020       62         0       0
SPDR SERIES TRUST              S&P BIOTECH    78464A870          6,000        119       X        28-12020      119         0       0







PAGE 392 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SRA INTL INC                   CL A           78464R105          6,000        353       X        28-12020      353         0       0
SRI/SURGICAL EXPRESS IN C      COM            78464W104          2,000      1,000       X        28-12020        0         0    1000
SVB FINL GROUP                 COM            78486Q101      1,158,000     44,155       X        28-12020    41255         0       0
SWS GROUP INC                  COM            78503N107              0         20       X        28-12020       20         0       0
SAFETY INS GROUP INC           COM            78648T100          2,000         40       X        28-12020       40         0       0
SAKS INC                       COM            79377W108          8,000      1,801       X        28-12020     1801         0       0
SALESFORCE COM INC             COM            79466L302        182,000      5,694       X        28-12020     5694         0       0
SANDISK CORP                   COM            80004C101        160,000     16,667       X        28-12020    16667         0       0
SANDRIDGE ENERGY INC           COM            80007P307         17,000      2,774       X        28-12020     2774         0       0
SANOFI AVENTIS                 SPONSORED ADR  80105N105        119,000      3,724       X        28-12020     2149         0    1575
SAVIENT PHARMACEUTICALS INC    COM            80517Q100          3,000        557       X        28-12020      557         0       0
SCANA CORP NEW                 COM            80589M102        621,000     17,444       X        28-12020    16244         0    1200
SCHLUMBERGER LTD               DBCV
                               2.125% 6/0     806857AD0          1,000      1,000       X        28-12020     1000         0       0
SCIENTIFIC GAMES CORP          CL A           80874P109         20,000      1,120       X        28-12020     1120         0       0
SEALED AIR CORP NEW            COM            81211K100        161,000     10,805       X        28-12020    10805         0       0
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100     52,899,000  2,326,276       X        28-12020  2253226         0   73050
SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308         95,000      4,000       X        28-12020     4000         0       0
SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407        112,000      5,200       X        28-12020     5200         0       0
SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506         93,000      1,950       X        28-12020     1950         0       0
SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605         52,000      4,128       X        28-12020     2328         0    1800
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704     22,769,000    972,216       X        28-12020   934678         0   37538
SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803        435,000     28,231       X        28-12020    28231         0       0
SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886        272,000      9,367       X        28-12020     8717         0     650
SELECT COMFORT CORP            COM            81616X103              0      1,220       X        28-12020     1220         0       0
SENIOR HSG PPTYS TR            SH BEN INT     81721M109      1,328,000     74,112       X        28-12020    61712         0       0
SENSIENT TECHNOLOGIES C ORP    COM            81725T100      1,182,000     49,515       X        28-12020    39476         0    3139
SHANDA INTERACTIVE ENTM T LTD  SPONSORED ADR  81941Q203      1,010,000     31,200       X        28-12020    31200         0       0
SHAW COMMUNICATIONS INC        CL B CONV      82028K200          4,000        250       X        28-12020      250         0       0
SHENANDOAH TELECOMMUNIC ATION  COM            82312B106         17,000        601       X        28-12020      601         0       0
SIERRA BANCORP                 COM            82620P102        563,000     26,783       X        28-12020    26783         0       0
SIGNATURE BK NEW YORK N Y      COM            82669G104        519,000     18,100       X        28-12020    14900         0       0







PAGE 393 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SILICON IMAGE INC              COM            82705T102          1,000        193       X        28-12020      193         0       0
SILVER STD RES INC             COM            82823L106          8,000        531       X        28-12020      531         0       0
SIRONA DENTAL SYSTEMS I N C    COM            82966C103          5,000        447       X        28-12020      447         0       0
SIRF TECHNOLOGY HLDGS I N C    COM            82967H101          3,000      2,296       X        28-12020     2296         0       0
SIRIUS XM RADIO INC            COM            82967N108         12,000     99,543       X        28-12020    68643         0   30900
SKYWORKS SOLUTIONS INC         COM            83088M102        735,000    132,729       X        28-12020   132729         0       0
SOHU COM INC                   COM            83408W103         39,000        818       X        28-12020      818         0       0
SOLERA HOLDINGS INC            COM            83421A104        497,000     20,615       X        28-12020    20615         0       0
SONIC AUTOMOTIVE INC           CL A           83545G102              0        106       X        28-12020      106         0       0
SONIC FDRY INC                 COM            83545R108         23,000     53,000       X        28-12020    53000         0       0
SONOSITE INC                   COM            83568G104          7,000        352       X        28-12020      352         0       0
SOUTHERN COPPER CORP           COM            84265V105         66,000      4,132       X        28-12020     4132         0       0
SOUTHSIDE BANCSHARES IN C      COM            84470P109        174,000      7,390       X        28-12020     7390         0       0
SOVRAN SELF STORAGE INC        COM            84610H108          5,000        150       X        28-12020      150         0       0
STAGE STORES INC               COM NEW        85254C305          1,000         65       X        28-12020       65         0       0
STANDARD PAC CORP NEW          COM            85375C101          8,000      4,615       X        28-12020     3615         0    1000
STARTEK INC                    COM            85569C107          2,000        375       X        28-12020      375         0       0
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        187,000     10,481       X        28-12020    10481         0       0
STATOILHYDRO ASA               SPONSORED ADR  85771P102         29,000      1,750       X        28-12020     1750         0       0
STELLARONE CORP                COM            85856G100         29,000      1,726       X        28-12020     1726         0       0
STEMCELLS INC                  COM            85857R105          5,000      4,000       X        28-12020        0         0    4000
STEREOTAXIS INC                COM            85916J102          8,000      1,754       X        28-12020     1754         0       0
STONERIDGE INC                 COM            86183P102         26,000      5,680       X        28-12020     5680         0       0
STRATEGIC HOTELS & RESO RTS I  COM            86272T106          2,000      1,433       X        28-12020     1433         0       0
SUN BANCORP INC                COM            86663B102        326,000     43,569       X        28-12020    36109         0       0
SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108         72,000      1,587       X        28-12020     1587         0       0
SUNOCO INC                     COM            86764P109      2,796,000     64,343       X        28-12020    64343         0       0
SUNRISE SENIOR LIVING I N C    COM            86768K106              0        234       X        28-12020      234         0       0
SUNTECH PWR HLDGS CO LT D      ADR            86800C104      1,189,000    101,574       X        28-12020   100149         0    1425
SYMYX TECHNOLOGIES             COM            87155S108         34,000      5,702       X        28-12020        0         0    5702
SYNCHRONOSS TECHNOLOGIE S INC  COM            87157B103          7,000        657       X        28-12020      657         0       0







PAGE 394 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SYNAPTICS INC                  COM            87157D109        644,000     38,897       X        28-12020    38897         0       0
SYNGENTA AG                    SPONSORED ADR  87160A100      2,947,000     75,293       X        28-12020    74893         0     400
SYNOVUS FINL CORP              COM            87161C105         39,000      4,651       X        28-12020     4651         0       0
SYNNEX CORP                    COM            87162W100          5,000        425       X        28-12020      425         0       0
SYNIVERSE HLDGS INC            COM            87163F106        328,000     27,461       X        28-12020    27461         0       0
TC PIPELINES LP                UT COM LTD PRT 87233Q108          7,000        300       X        28-12020      300         0       0
TD AMERITRADE HLDG CORP        COM            87236Y108         58,000      4,083       X        28-12020     4083         0       0
TFS FINL CORP                  COM            87240R107        124,000      9,630       X        28-12020     9630         0       0
TJX COS INC NEW                NOTE       2/1 872540AL3          1,000      1,000       X        28-12020     1000         0       0
TRW AUTOMOTIVE HLDGS CO RP     COM            87264S106          3,000        900       X        28-12020      900         0       0
TS&W CLAYMORE TAX ADVNT G BL   COM            87280R108         80,000     12,000       X        28-12020        0         0   12000
TTM TECHNOLOGIES  INC          COM            87305R109        574,000    110,245       X        28-12020    90445         0       0
TW TELECOM INC                 COM            87311L104         10,000      1,174       X        28-12020     1174         0       0
TELECOM ITALIA S P A NE W      SPON ADR ORD   87927Y102          8,000        580       X        28-12020      580         0       0
TELECOMUNICACOES DE SAO PAUL   SPON ADR PFD   87929A102          4,000        200       X        28-12020      200         0       0
TELIK INC                      COM            87959M109              0        300       X        28-12020      300         0       0
TEMPUR PEDIC INTL INC          COM            88023U101         14,000      1,957       X        28-12020     1957         0       0
TENET HEALTHCARE CORP          COM            88033G100         21,000     18,330       X        28-12020    18330         0       0
TERADATA CORP DEL              COM            88076W103        242,000     16,310       X        28-12020    16310         0       0
TETRA TECHNOLOGIES INC DEL     COM            88162F105         10,000      2,035       X        28-12020     2035         0       0
TETRA TECH INC NEW             COM            88162G103        159,000      6,563       X        28-12020     6563         0       0
TEVA PHARMACEUTICAL FIN LLC    DBCV
                               0.250% 2/0     88163VAE9          1,000      1,000       X        28-12020     1000         0       0
TESSERA TECHNOLOGIES IN C      COM            88164L100          6,000        514       X        28-12020      514         0       0
TEVA PHARMACEUTICAL FIN CO B   NOTE
                               1.750% 2/0     88165FAA0          3,000      3,000       X        28-12020     3000         0       0
TEXAS CAPITAL BANCSHARE S INC  COM            88224Q107        384,000     28,771       X        28-12020    23871         0       0
THERAVANCE INC                 COM            88338T104         16,000      1,284       X        28-12020     1284         0       0
THESTREET COM                  COM            88368Q103          2,000        627       X        28-12020      627         0       0
THINKORSWIM GROUP INC          COM            88409C105          6,000      1,040       X        28-12020     1040         0       0
3-D SYS CORP DEL               COM NEW        88554D205          7,000        913       X        28-12020      913         0       0
3M CO                          COM            88579Y101     53,600,000    931,529       X        28-12020   901920         0   29551
3M CO                          COM            88579Y101        308,000        400       X        28-12020      400         0       0







PAGE 395 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
3M CO                          NOTE      11/2 88579YAB7          2,000      3,000       X        28-12020     3000         0       0
3PAR INC                       COM            88580F109        331,000     43,425       X        28-12020    43425         0       0
TIBCO SOFTWARE INC             COM            88632Q103         21,000      4,049       X        28-12020     4049         0       0
TICKETMASTER ENTMT INC         COM            88633P302        895,000    139,351       X        28-12020   121251         0       0
TIM HORTONS INC                COM            88706M103        458,000     15,845       X        28-12020    15845         0       0
TIME WARNER CABLE INC          CL A           88732J108         48,000      2,219       X        28-12020     2219         0       0
TRANSCANADA CORP               COM            89353D107         14,000        500       X        28-12020      500         0       0
TREEHOUSE FOODS INC            COM            89469A104        727,000     26,704       X        28-12020    23104         0       0
TRIQUINT SEMICONDUCTOR INC     COM            89674K103         13,000      3,864       X        28-12020     3864         0       0
TRUE RELIGION APPAREL I N C    COM            89784N104          4,000        300       X        28-12020      300         0       0
TRUEBLUE INC                   COM            89785X101         10,000      1,079       X        28-12020     1079         0       0
UCBH HOLDINGS INC              COM            90262T308         13,000      1,823       X        28-12020     1823         0       0
USANA HEALTH SCIENCES I N C    COM            90328M107          1,000         23       X        28-12020       23         0       0
U S PHYSICAL THERAPY IN C      COM            90337L108        284,000     21,300       X        28-12020    21300         0       0
USA MOBILITY INC               COM            90341G103        905,000     78,226       X        28-12020    78226         0       0
U S AIRWAYS GROUP INC          COM            90341W108         14,000      1,870       X        28-12020     1870         0       0
ULTIMATE SOFTWARE GROUP INC    COM            90385D107          2,000        109       X        28-12020      109         0       0
UNION DRILLING INC             COM            90653P105          3,000        594       X        28-12020      594         0       0
UNITED AMER INDEMNITY L T D    CL A           90933T109          1,000         47       X        28-12020       47         0       0
U STORE IT TR                  COM            91274F104         63,000     14,230       X        28-12020    14230         0       0
UNITED THERAPEUTICS COR P DEL  COM            91307C102         14,000        218       X        28-12020      218         0       0
UNITEDHEALTH GROUP INC         COM            91324P102      2,205,000     82,880       X        28-12020    81658         0    1222
UNIVERSAL DISPLAY CORP         COM            91347P105         40,000      4,253       X        28-12020     4253         0       0
UNUM GROUP                     COM            91529Y106        379,000     20,349       X        28-12020    20249         0     100
VAALCO ENERGY INC              COM NEW        91851C201         17,000      2,306       X        28-12020     2306         0       0
VAIL RESORTS INC               COM            91879Q109          8,000        305       X        28-12020      305         0       0
VALEANT PHARMACEUTICALS INTL   COM            91911X104         29,000      1,306       X        28-12020     1306         0       0
VALERO ENERGY CORP NEW         COM            91913Y100      1,156,000     53,428       X        28-12020    51855         0    1573
VALUECLICK INC                 COM            92046N102         19,000      2,757       X        28-12020     2757         0       0
VANGUARD WORLD FDS             FINANCIALS ETF 92204A405         26,000      1,000       X        28-12020     1000         0       0
VANGUARD WORLD FDS             MATERIALS ETF  92204A801          1,000         25       X        28-12020       25         0       0







PAGE 396 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VARIAN MED SYS INC             COM            92220P105     43,511,000  1,241,735       X        28-12020  1200591         0   41144
VASCO DATA SEC INTL INC        COM            92230Y104         21,000      2,102       X        28-12020     2102         0       0
VECTREN CORP                   COM            92240G101      2,159,000     86,309       X        28-12020    73373         0   12936
VECTOR GROUP LTD               COM            92240M108          7,000        472       X        28-12020      472         0       0
VENTAS INC                     COM            92276F100        267,000      7,946       X        28-12020     7946         0       0
VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103         85,000      2,685       X        28-12020     2685         0       0
VERIFONE HLDGS INC             COM            92342Y109         10,000      2,008       X        28-12020     2008         0       0
VERIZON COMMUNICATIONS INC     COM            92343V104     60,564,000  1,786,558       X        28-12020  1723752         0   62806
VERIZON COMMUNICATIONS INC     COM            92343V104        149,000      3,300       X        28-12020     3300         0       0
VERTEX PHARMACEUTICALS INC     COM            92532F100         68,000      2,245       X        28-12020     2245         0       0
VIAD CORP                      COM NEW        92552R406          5,000        192       X        28-12020      192         0       0
VIASAT INC                     COM            92552V100         13,000        544       X        28-12020      544         0       0
VIACOM INC NEW                 CL A           92553P102          1,000         48       X        28-12020       48         0       0
VIACOM INC NEW                 CL B           92553P201        912,000     47,836       X        28-12020    45140         0    2696
VIRGIN MEDIA INC               COM            92769L101         22,000      4,487       X        28-12020     4487         0       0
VIRGIN MOBILE USA INC          CL A           92769R108          2,000      1,964       X        28-12020     1964         0       0
VISA INC                       COM CL A       92826C839        873,000     16,629       X        28-12020    16219         0     410
VISA INC                       COM CL A       92826C839        646,000      1,700       X        28-12020     1700         0       0
VISTEON CORP                   COM            92839U107              0      1,085       X        28-12020     1085         0       0
VIVO PARTICIPACOES S A         SPON ADR
                               PFD NEW        92855S200         10,000        793       X        28-12020        0         0     793
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209      5,275,000    258,112       X        28-12020   251069         0    7043
VOCUS INC                      COM            92858J108              0          7       X        28-12020        7         0       0
VOLCOM INC                     COM            92864N101          2,000        200       X        28-12020      200         0       0
W & T OFFSHORE INC             COM            92922P106         10,000        723       X        28-12020      723         0       0
WGL HLDGS INC                  COM            92924F106      1,703,000     52,099       X        28-12020    44299         0       0
WABCO HLDGS INC                COM            92927K102         14,000        902       X        28-12020      902         0       0
W P CAREY & CO LLC             COM            92930Y107         33,000      1,393       X        28-12020     1393         0       0
WALTER INDS INC                COM            93317Q105         11,000        651       X        28-12020      651         0       0
WASTE MGMT INC DEL             COM            94106L109      1,304,000     39,333       X        28-12020    39299         0      34
WELLCARE HEALTH PLANS I N C    COM            94946T106         14,000      1,099       X        28-12020     1099         0       0
WELLPOINT INC                  COM            94973V107      1,452,000     34,457       X        28-12020    34331         0     126







PAGE 397 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WESCO INTL INC                 COM            95082P105         18,000        938       X        28-12020      938         0       0
WESTAR ENERGY INC              COM            95709T100        668,000     32,583       X        28-12020    27383         0       0
WESTERN ASSET GLB HI IN COME   COM            95766B109         46,000      6,300       X        28-12020     6300         0       0
WESTERN ASSETT MGD HI I NCM F  COM            95766L107         24,000      5,645       X        28-12020     5645         0       0
WILLIAMS PARTNERS L P          COM UNIT L P   96950F104          3,000        250       X        28-12020      250         0       0
WINDSTREAM CORP                COM            97381W104        610,000     66,271       X        28-12020    64444         0    1827
WINDSTREAM CORP                COM            97381W104         88,000        700       X        28-12020      700         0       0
WINTRUST FINANCIAL CORP        COM            97650W108         11,000        514       X        28-12020      514         0       0
WISDOMTREE TRUST               INTL REAL EST  97717W307         15,000        750       X        28-12020      750         0       0
WISDOMTREE TRUST               EUROPE TOT DIV 97717W828         15,000        407       X        28-12020      407         0       0
WORLD WRESTLING ENTMT I N C    CL A           98156Q108         13,000      1,223       X        28-12020     1223         0       0
WRIGHT EXPRESS CORP            COM            98233Q105          4,000        344       X        28-12020      344         0       0
WRIGHT MED GROUP INC           COM            98235T107          6,000        307       X        28-12020      307         0       0
WYETH                          DBCV       1/1 983024AD2          8,000      8,000       X        28-12020     8000         0       0
WYNDHAM WORLDWIDE CORP         COM            98310W108         80,000     12,219       X        28-12020    12219         0       0
XTO ENERGY INC                 COM            98385X106      1,236,000     35,046       X        28-12020    34859         0     187
XCEL ENERGY INC                COM            98389B100      5,821,000    313,783       X        28-12020   309640         0    4143
XENOPORT INC                   COM            98411C100         13,000        536       X        28-12020      536         0       0
XERIUM TECHNOLOGIES INC        COM            98416J100          1,000      1,923       X        28-12020     1923         0       0
YAMANA GOLD INC                COM            98462Y100      2,158,000    279,556       X        28-12020   257954         0   21602
ZEP INC                        COM            98944B108        580,000     30,015       X        28-12020    30015         0       0
ZIMMER HLDGS INC               COM            98956P102     17,107,000    423,264       X        28-12020   417069         0    6195
ZORAN CORP                     COM            98975F101         17,000      2,413       X        28-12020     1913         0     500
ZOLTEK COS INC                 COM            98975W104          9,000      1,000       X        28-12020        0         0    1000
DAIMLER AG                     REG SHS        D1668R123        174,000      4,547       X        28-12020     3900         0     647
DEUTSCHE BANK AG               NAMEN AKT      D18190898         57,000      1,402       X        28-12020     1227         0     175
ALLIED WRLD ASSUR COM H LDG L  SHS            G0219G203         58,000      1,445       X        28-12020     1445         0       0
AMDOCS LTD                     ORD            G02602103      7,017,000    383,676       X        28-12020   379053         0    3369
ARCH CAP GROUP LTD             ORD            G0450A105         39,000        554       X        28-12020      554         0       0
ARGO GROUP INTL HLDGS L T D    COM            G0464B107         21,000        632       X        28-12020      632         0       0
ASPEN INSURANCE HOLDING S LTD  SHS            G05384105      1,780,000     73,375       X        28-12020    63075         0       0







PAGE 398 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ASSURED GUARANTY LTD           COM            G0585R106         11,000        937       X        28-12020      937         0       0
AXIS CAPITAL HOLDINGS          SHS            G0692U109         71,000      2,423       X        28-12020     2423         0       0
ACCENTURE LTD BERMUDA          CL A           G1150G111      3,347,000    102,058       X        28-12020   102058         0       0
BROOKFIELD INFRAST PART NERS   LP INT UNIT    G16252101         22,000      2,004       X        28-12020        0         0    2004
BUNGE LIMITED                  COM            G16962105     10,324,000    199,429       X        28-12020   195074         0    3685
CENTRAL EUROPEAN MEDIA ENTRP   CL A NEW       G20045202         10,000        476       X        28-12020      476         0       0
CONSOLIDATED WATER CO I N C    ORD            G23773107              0         16       X        28-12020       16         0       0
COOPER INDS LTD                CL A           G24182100        578,000     19,772       X        28-12020    19502         0     270
CREDICORP LTD                  COM            G2519Y108        265,000      5,300       X        28-12020     5300         0       0
COVIDIEN LTD                   COM            G2552X108      2,313,000     63,819       X        28-12020    56793         0    7026
ENDURANCE SPECIALTY HLD GS LT  SHS            G30397106      1,284,000     42,061       X        28-12020    36261         0       0
ENSTAR GROUP LIMITED           SHS            G3075P101         18,000        300       X        28-12020      300         0       0
CRYPTOLOGIC LIMITED            SHS            G3159C109          3,000      1,164       X        28-12020     1164         0       0
EVEREST RE GROUP LTD           COM            G3223R108      5,581,000     73,293       X        28-12020    73293         0       0
FLAGSTONE REINSURANCE H LDGS   SHS            G3529T105              0         40       X        28-12020       40         0       0
FOSTER WHEELER LTD             SHS NEW        G36535139     20,862,000    892,288       X        28-12020   871028         0   21260
FRESH DEL MONTE PRODUCE INC    ORD            G36738105        525,000     23,434       X        28-12020    20634         0       0
FRONTLINE LTD                  SHS            G3682E127        114,000      3,824       X        28-12020     3824         0       0
GARMIN LTD                     ORD            G37260109        123,000      6,392       X        28-12020     6042         0     350
GLOBAL SOURCES LTD             ORD            G39300101          5,000        828       X        28-12020      828         0       0
HELEN OF TROY CORP LTD         COM            G4388N106          1,000         60       X        28-12020       60         0       0
HERBALIFE LTD                  COM USD SHS    G4412G101        621,000     28,660       X        28-12020    23860         0       0
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101        875,000     50,446       X        28-12020    50446         0       0
INVESCO LTD                    SHS            G491BT108     28,418,000  1,968,031       X        28-12020  1934465         0   33566
IPC HLDGS LTD                  ORD            G4933P101        422,000     14,137       X        28-12020    14137         0       0
KNIGHTSBRIDGE TANKERS L T D    ORD            G5299G106          9,000        645       X        28-12020      645         0       0
LAZARD LTD                     SHS A          G54050102      4,174,000    140,354       X        28-12020   140354         0       0
MARVELL TECHNOLOGY GROU P LTD  ORD            G5876H105      1,197,000    179,351       X        28-12020   177076         0    2275
MAX CAPITAL GROUP LTD          SHS            G6052F103         32,000      1,779       X        28-12020     1779         0       0
MF GLOBAL LTD                  SHS            G60642108          2,000      1,152       X        28-12020     1152         0       0
MONTPELIER RE HOLDINGS LTD     SHS            G62185106      4,364,000    259,881       X        28-12020   254081         0       0







PAGE 399 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NABORS INDUSTRIES LTD          SHS            G6359F103     18,367,000  1,534,447       X        28-12020  1488037         0   46410
NOBLE CORPORATION              SHS            G65422100        691,000     31,281       X        28-12020    30881         0     400
NORDIC AMERICAN TANKER SHIPP   COM            G65773106         30,000        901       X        28-12020      901         0       0
OPENTV CORP                    CL A           G67543101          2,000      1,500       X        28-12020        0         0    1500
ONEBEACON INSURANCE GRO UP LT  CL A           G67742109          5,000        503       X        28-12020      503         0       0
ORIENT-EXPRESS HOTELS L T D    CL A           G67743107          4,000        472       X        28-12020      472         0       0
PARTNERRE LTD                  COM            G6852T105      3,245,000     45,532       X        28-12020    45532         0       0
PLATINUM UNDERWRITER HL DGS L  COM            G7127P100        426,000     11,794       X        28-12020    11794         0       0
PRIMUS GUARANTY LTD            SHS            G72457107          9,000      7,693       X        28-12020     7693         0       0
QIAO XING UNIVERSAL TEL EPHON  ORD            G7303A109          2,000      1,000       X        28-12020     1000         0       0
RENAISSANCERE HOLDINGS LTD     COM            G7496G103         54,000      1,055       X        28-12020     1055         0       0
SEAGATE TECHNOLOGY             SHS            G7945J104      1,079,000    243,683       X        28-12020   241137         0    2546
SHIP FINANCE INTERNATIO NAL L  SHS            G81075106         19,000      1,667       X        28-12020     1667         0       0
SIGNET JEWELERS LIMITED        SHS            G81276100          4,000        506       X        28-12020      506         0       0
SMART MODULAR TECHNOLOG IES I  ORD SHS        G82245104              0        117       X        28-12020      117         0       0
STEWART W P & CO LTD           SHS            G84922106              0         50       X        28-12020       50         0       0
TBS INTERNATIONAL LIMIT ED     COM CL A       G86975151         83,000      8,304       X        28-12020     8304         0       0
UTI WORLDWIDE INC              ORD            G87210103         74,000      5,147       X        28-12020     5147         0       0
TYCO INTL LTD BERMUDA          SHS            G9143X208      1,461,000     67,626       X        28-12020    60615         0    7011
TYCO ELECTRONICS LTD           COM NEW        G9144P105        937,000     57,761       X        28-12020    51125         0    6636
VALIDUS HOLDINGS LTD           COM SHS        G9319H102         17,000        662       X        28-12020      662         0       0
VISTAPRINT LIMITED             SHS            G93762204          8,000        435       X        28-12020      435         0       0
WARNER CHILCOTT LIMITED        COM CL A       G9435N108         24,000      1,660       X        28-12020     1660         0       0
GOLAR LNG LTD BERMUDA          SHS            G9456A100          5,000        764       X        28-12020      764         0       0
WEATHERFORD INTERNATION AL LT  COM            G95089101      9,219,000    851,996       X        28-12020   833912         0   17804
WHITE MTNS INS GROUP LT D      COM            G9618E107      2,750,000     10,293       X        28-12020    10293         0       0
XL CAP LTD                     CL A           G98255105         82,000     22,237       X        28-12020    21887         0     350
XOMA LTD                       ORD            G9825R107          3,000      5,280       X        28-12020     3780         0    1500
ACE LTD                        SHS            H0023R105     82,627,000  1,561,332       X        28-12020  1512902         0   48430
ALCON INC                      COM SHS        H01301102        968,000     10,846       X        28-12020     7696         0    3150
LOGITECH INTL S A              SHS            H50430232         85,000      5,500       X        28-12020     5500         0       0







PAGE 400 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
                                                                                      ITEM 6:
                                                                         ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:                ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL    (B)SHARED   MANAGERS           (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE       AMOUNT   (A)SOLE (C)OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UBS AG                         SHS NEW        H89231338        330,000     23,097       X        28-12020    22597         0     500
MILLICOM INTL CELLULAR S A     SHS NEW        L6388F110         39,000        869       X        28-12020      869         0       0
CELLCOM ISRAEL LTD             SHS            M2196U109        144,000      6,500       X        28-12020     6500         0       0
CHECK POINT SOFTWARE TE CH LT  ORD            M22465104      2,728,000    143,664       X        28-12020   143664         0       0
EZCHIP SEMICONDUCTOR LI MITED  ORD            M4146Y108         47,000      3,000       X        28-12020     3000         0       0
GIVEN IMAGING                  ORD SHS        M52020100         69,000      8,350       X        28-12020     8350         0       0
HADERA PAPER LTD               SHS            M52514102          1,000         35       X        28-12020        0         0      35
RADWARE LTD                    ORD            M81873107          5,000      1,000       X        28-12020        0         0    1000
SYNERON MEDICAL LTD            ORD SHS        M87245102          8,000        972       X        28-12020      972         0       0
ASML HOLDING N V               NY REG SHS     N07059186      7,531,000    416,749       X        28-12020   416749         0       0
CORE LABORATORIES N V          COM            N22717107        150,000      2,500       X        28-12020     2500         0       0
ORTHOFIX INTL N V              COM            N6748L102          2,000        117       X        28-12020      117         0       0
QIAGEN N V                     ORD            N72482107      1,111,000     63,290       X        28-12020    63290         0       0
BANCO LATINOAMERICANO D E EXP  CL E           P16994132        928,000     64,651       X        28-12020    58051         0       0
COPA HOLDINGS SA               CL A           P31076105         10,000        338       X        28-12020      338         0       0
STEINER LEISURE LTD            ORD            P8744Y102          2,000         52       X        28-12020       52         0       0
ULTRAPETROL BAHAMAS LTD        COM            P94398107          3,000        835       X        28-12020      835         0       0
ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103         26,000      1,908       X        28-12020     1908         0       0
DANAOS CORPORATION             SHS            Y1968P105         14,000      2,000       X        28-12020        0         0    2000
DRYSHIPS INC                   SHS            Y2109Q101          2,000        200       X        28-12020      200         0       0
EAGLE BULK SHIPPING INC        COM            Y2187A101          7,000        930       X        28-12020      930         0       0
FLEXTRONICS INTL LTD           ORD            Y2573F102         24,000      9,372       X        28-12020     8472         0     900
GENCO SHIPPING & TRADIN G LTD  SHS            Y2685T107          3,000        181       X        28-12020      181         0       0
SAFE BULKERS INC               COM            Y7388L103         53,000      8,000       X        28-12020        0         0    8000
SEASPAN CORP                   SHS            Y75638109          1,000        100       X        28-12020        0         0     100
STEALTHGAS INC                 SHS            Y81669106         11,000      2,300       X        28-12020     2300         0       0
TEEKAY CORPORATION             COM            Y8564W103          9,000        464       X        28-12020      464         0       0
VERIGY LTD                     SHS            Y93691106      2,738,000    284,677       X        28-12020   284584         0      93








PAGE 401 OF 401                   FORM 13F    NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 12/31/08
        ENTITY TOTALS                                     FAIR MARKET                             ENTITY                   UNITS
------------------------------------------------------------------------------------------------------------------------------------
                                                                                                              
                                                        17,922,175,206                           28-5284                 541,812,665
                                                           123,816,675                           28-11135                  4,946,035
                                                            78,832,164                           28-11439                    971,863
                                                           459,916,230                           28-4580                  11,681,917
                                                         5,784,731,249                           28-4750                  43,121,366
                                                         1,082,397,034                           28-12474                 33,140,132
                                                         1,850,668,000                           28-4635                  73,800,577
                                                        14,288,054,000                           28-12020                408,681,295
                                                             1,329,518                                                        47,296
                                                                                                 --------
      GRAND TOTALS                                      41,591,920,076                                                 1,118,203,146
  NUMBER OF ISSUES                                               3,586