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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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   May 9, 2008
[Signature]             [City, State]      [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

     Form 13F File Number   Name
     None                   None




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 6

Form 13F Information Table Entry Total: 3,359

Form 13F Information Table Value Total: $35,935,296
                                        (thousands)

List of Other Included Managers:

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

No.   Form 13F File Number   Name

1     28-11135               ADVISORport, Inc.
2     28-4750                PNC Bancorp, Inc.
3     28-4580                PNC Bank, Delaware
4     28-5284                PNC Bank, National Association
5     28-12474               PNC Capital Advisors, Inc.
6     28-11439               PNC Equity Securities, LLC






                                                                                                                    FILE NO. 28-1235
PAGE   1 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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        393,958     4,605       X        28-5284     3983               622
                                                             272,220     3,182       X      X 28-5284     2863               319
                                                               6,758        79       X        28-11135      79
                                                              14,971       175       X        28-4580      175
                                                             132,603     1,550       X      X 28-4580     1550
DEUTSCHE BANK AG             NAMEN AKT      D18190898        135,660     1,200       X        28-5284                       1200
                                                              31,654       280       X      X 28-5284      280
                                                              35,159       311       X        28-11135     311
ACE LTD                      ORD            G0070K103        562,383    10,214       X        28-5284     7214              3000
                                                             521,088     9,464       X      X 28-5284     8739               725
                                                           1,193,095    21,669       X        28-11135   21669
AIRCASTLE LTD                COM            G0129K104          2,250       200       X      X 28-5284      200
AMDOCS LTD                   ORD            G02602103          2,836       100       X        28-5284      100
                                                              17,016       600       X      X 28-5284      600
APEX SILVER MINES LTD        ORD            G04074103         12,944     1,068       X        28-4580     1068
ARCH CAP GROUP LTD           ORD            G0450A105          3,571        52       X        28-5284       52
                                                             378,578     5,513       X      X 28-5284     5513
                                                              26,987       393       X        28-11135     393
ARGO GROUP INTL HLDGS LTD    COM            G0464B107         55,198     1,554       X      X 28-5284     1230               324
ASPEN INSURANCE HOLDINGS LTD SHS            G05384105         10,684       405       X      X 28-5284      405
ASSURED GUARANTY LTD         COM            G0585R106        299,124    12,600       X        28-5284    12600
AXIS CAPITAL HOLDINGS        SHS            G0692U109        342,213    10,071       X        28-5284                      10071
                                                              51,887     1,527       X      X 28-4580     1527
ACCENTURE LTD BERMUDA        CL A           G1150G111     10,079,722   286,600       X        28-5284   264515             22085
                                                           2,931,490    83,352       X      X 28-5284    64855      3440   15057
                                                              47,585     1,353       X        28-4580     1353
BROOKFIELD INFRAST PARTNERS  LP INT UNIT    G16252101          5,492       324       X        28-5284      324
                                                              12,475       736       X      X 28-5284      511               225
                                                                  17         1       X        28-11135       1
                                                               2,305       136       X      X 28-4580      136
   COLUMN TOTAL                                           17,581,923







                                                                                                                    FILE NO. 28-1235
PAGE   2 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BUNGE LIMITED                COM            G16962105        595,041     6,849       X        28-5284     1790              5059
                                                              72,110       830       X      X 28-5284      530               300
                                                             125,802     1,448       X        28-11135    1448
CASTLEPOINT HOLDINGS LTD     COM            G19522112        388,130    39,890       X        28-11135   39890
CONSOLIDATED WATER CO INC    ORD            G23773107         21,479       975       X        28-5284      975
COOPER INDS LTD              CL A           G24182100        811,713    20,217       X        28-5284    18517              1700
                                                             622,084    15,494       X      X 28-5284    13762              1732
                                                               3,212        80       X        28-11135      80
                                                              20,075       500       X        28-4580      500
                                                              80,300     2,000       X      X 28-4580     2000
CREDICORP LTD                COM            G2519Y108        535,898     7,470       X      X 28-5284     7470
COVIDIEN LTD                 COM            G2552X108      1,391,397    31,444       X        28-5284    24457              6987
                                                           1,700,528    38,430       X      X 28-5284    32640       927    4863
                                                               7,611       172       X        28-11135     172
                                                              14,337       324       X        28-4580      324
                                                              53,631     1,212       X      X 28-4580     1212
ENDURANCE SPECIALTY HLDGS LT SHS            G30397106        102,846     2,810       X        28-5284     2810
                                                             182,634     4,990       X      X 28-5284     2290              2700
ENSTAR GROUP LIMITED         SHS            G3075P101        166,905     1,500       X        28-5284     1500
                                                             333,810     3,000       X      X 28-5284     3000
                                                             122,286     1,099       X      X 28-4580     1099
ASA LIMITED                  COM            G3156P103         10,161       124       X        28-5284      124
                                                           4,097,000    50,000       X      X 28-5284    50000
EVEREST RE GROUP LTD         COM            G3223R108          1,880        21       X        28-5284       21
                                                               4,835        54       X      X 28-5284       54
                                                             321,771     3,594       X        28-11135    3594
FOSTER WHEELER LTD           *W EXP 09/24/2 G36535121         32,716       200       X        28-5284      200
FOSTER WHEELER LTD           SHS NEW        G36535139         94,555     1,670       X        28-5284     1670
                                                              33,406       590       X      X 28-5284      590
FRESH DEL MONTE PRODUCE INC  ORD            G36738105         22,095       607       X        28-5284                        607
   COLUMN TOTAL                                           11,970,248







                                                                                                                    FILE NO. 28-1235
PAGE   3 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FRONTLINE LTD                SHS            G3682E127         89,279     1,940       X        28-5284     1940
                                                              55,362     1,203       X      X 28-5284     1203
                                                              92,040     2,000       X      X 28-4580     2000
GARMIN LTD                   ORD            G37260109        772,235    14,298       X        28-5284    14183               115
                                                           1,311,903    24,290       X      X 28-5284    14375              9915
                                                             197,299     3,653       X        28-11135    3653
GLOBAL SOURCES LTD           ORD            G39300101         51,084     3,440       X        28-5284     3440
HELEN OF TROY CORP LTD       COM            G4388N106          1,392        83       X        28-11135      83
INGERSOLL-RAND COMPANY LTD   CL A           G4776G101     26,851,470   602,321       X        28-5284   538681             63640
                                                          26,037,127   584,054       X      X 28-5284   541830       675   41549
                                                             264,761     5,939       X        28-11135    5939
                                                             363,238     8,148       X        28-4580     7962               186
                                                             343,712     7,710       X      X 28-4580     6438              1272
INVESCO LTD                  SHS            G491BT108          5,335       219       X        28-5284      219
IPC HLDGS LTD                ORD            G4933P101          2,800       100       X        28-5284      100
                                                              10,080       360       X      X 28-5284      360
KNIGHTSBRIDGE TANKERS LTD    ORD            G5299G106          2,668       100       X      X 28-5284      100
LAZARD LTD                   SHS A          G54050102         46,298     1,212       X        28-5284     1212
                                                                  76         2       X      X 28-5284        2
MARVELL TECHNOLOGY GROUP LTD ORD            G5876H105          1,088       100       X        28-5284      100
                                                              31,421     2,888       X      X 28-5284     2888
MONTPELIER RE HOLDINGS LTD   SHS            G62185106          8,346       520       X      X 28-5284                        520
                                                             619,113    38,574       X        28-11135   38574
NABORS INDUSTRIES LTD        SHS            G6359F103      7,377,225   218,455       X        28-5284   190163             28292
                                                             577,940    17,114       X      X 28-5284    14709              2405
                                                               2,499        74       X        28-11135      74
                                                               7,497       222       X        28-4580      222
                                                               1,553        46       X      X 28-4580       46
   COLUMN TOTAL                                           65,124,841








                                                                                                                    FILE NO. 28-1235
PAGE   4 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NOBLE CORPORATION            SHS            G65422100        165,451     3,331       X        28-5284     3331
                                                             183,282     3,690       X      X 28-5284     2690              1000
                                                              89,704     1,806       X        28-11135    1806
                                                               9,537       192       X        28-4580      192
NORDIC AMERICAN TANKER SHIPP COM            G65773106         33,684     1,203       X        28-5284     1203
                                                              58,800     2,100       X      X 28-5284     2100
OPENTV CORP                  CL A           G67543101         26,492    22,451       X      X 28-5284              22379      72
PARTNERRE LTD                COM            G6852T105          1,373        18       X        28-5284       18
                                                                 229         3       X      X 28-5284        3
                                                               1,526        20       X        28-11135      20
PEAK INTL LTD                ORD            G69586108         25,728    13,400       X      X 28-5284              13400
PLATINUM UNDERWRITER HLDGS L COM            G7127P100          2,435        75       X        28-5284       75
                                                               1,591        49       X        28-11135      49
PRUDENTIAL PLC               6.75%SUB REG S G7293H114         23,750     1,000       X        28-5284     1000
RENAISSANCERE HOLDINGS LTD   COM            G7496G103         26,682       514       X        28-5284      514
                                                                 104         2       X      X 28-5284        2
SEAGATE TECHNOLOGY           SHS            G7945J104        286,355    13,675       X        28-5284    12015              1660
                                                              93,392     4,460       X      X 28-5284     3780               680
                                                                 628        30       X        28-11135      30
                                                               2,848       136       X        28-4580      136
SECURITY CAPITAL ASSURANCE   COM            G8018D107            286       550       X        28-5284      550
SHIP FINANCE INTERNATIONAL L SHS            G81075106         19,237       732       X        28-5284      732
                                                                 999        38       X      X 28-5284       38
SINA CORP                    ORD            G81477104            353        10       X        28-5284       10
UTI WORLDWIDE INC            ORD            G87210103        169,174     8,425       X        28-5284     8425
                                                             328,569    16,363       X      X 28-5284     4400             11963
                                                               8,032       400       X      X 28-4580      400
   COLUMN TOTAL                                            1,560,241








                                                                                                                    FILE NO. 28-1235
PAGE   5 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TRANSOCEAN INC NEW           SHS            G90073100     44,220,540   327,075       X        28-5284   312696             14379
                                                          17,475,006   129,253       X      X 28-5284   121936      2368    4949
                                                             412,090     3,048       X        28-11135    3048
                                                             853,247     6,311       X        28-4580     6117               194
                                                             110,594       818       X      X 28-4580      818
TSAKOS ENERGY NAVIGATION LTD SHS            G9108L108          7,690       250       X      X 28-5284      250
TYCO INTL LTD BERMUDA        SHS            G9143X208     27,141,319   616,148       X        28-5284   588055             28093
                                                           8,193,652   186,008       X      X 28-5284   178193      3087    4728
                                                              42,024       954       X        28-11135     954
                                                              14,537       330       X        28-4580      330
                                                              53,389     1,212       X      X 28-4580     1212
TYCO ELECTRONICS LTD         COM NEW        G9144P105     19,211,444   559,774       X        28-5284   538306             21468
                                                           6,221,392   181,276       X      X 28-5284   172519      3819    4938
                                                               5,423       158       X        28-11135     158
                                                              11,840       345       X        28-4580      345
                                                              41,596     1,212       X      X 28-4580     1212
VISTAPRINT LIMITED           SHS            G93762204         34,950     1,000       X        28-5284               1000
                                                              30,756       880       X      X 28-5284      880
WARNER CHILCOTT LIMITED      COM CL A       G9435N108         49,716     2,762       X        28-5284                       2762
WEATHERFORD INTERNATIONAL LT COM            G95089101        418,514     5,775       X        28-5284     5005       770
                                                             372,206     5,136       X      X 28-5284     5136
                                                               2,536        35       X        28-11135      35
WHITE MTNS INS GROUP LTD     COM            G9618E107         16,320        34       X        28-5284       34
                                                             314,400       655       X      X 28-5284      300               355
                                                               1,440         3       X        28-11135       3
WILLIS GROUP HOLDINGS LTD    SHS            G96655108      3,498,364   104,087       X        28-5284    63849             40238
                                                           2,714,545    80,766       X      X 28-5284    40556             40210
                                                              57,675     1,716       X        28-11135    1716
XOMA LTD                     ORD            G9825R107         24,605     9,500       X        28-5284     9500
XL CAP LTD                   CL A           G98255105         80,701     2,731       X        28-5284      531              2200
                                                              72,841     2,465       X      X 28-5284     2165               300
   COLUMN TOTAL                                          131,705,352







                                                                                                                    FILE NO. 28-1235
PAGE   6 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ALCON INC                    COM SHS        H01301102     35,084,967   246,643       X        28-5284   236277             10366
                                                          12,831,804    90,206       X      X 28-5284    80828      1394    7984
                                                             634,577     4,461       X        28-4580     4354               107
                                                             104,838       737       X      X 28-4580      737
LOGITECH INTL S A            SHS            H50430232        190,139     7,474       X        28-11135    7474
UBS AG                       SHS NEW        H89231338        281,146     9,762       X        28-5284     9762
                                                             284,170     9,867       X      X 28-5284     6795              3072
                                                              55,728     1,935       X        28-11135    1935
                                                              86,400     3,000       X      X 28-4580     3000
MILLICOM INTL CELLULAR S A   SHS NEW        L6388F110         10,873       115       X        28-5284      115
                                                             145,607     1,540       X      X 28-5284       40              1500
ALVARION LTD                 SHS            M0861T100         21,750     3,000       X      X 28-5284     3000
CELLCOM ISRAEL LTD           SHS            M2196U109          6,286       200       X        28-5284      200
CHECK POINT SOFTWARE TECH LT ORD            M22465104        230,854    10,306       X        28-5284    10306
                                                             100,016     4,465       X      X 28-5284     4465
                                                               4,480       200       X        28-11135     200
                                                              51,094     2,281       X      X 28-4580     2281
ECTEL LTD                    ORD            M29925100         24,744     9,858       X      X 28-5284               9858
ELBIT SYS LTD                ORD            M3760D101          5,545       100       X        28-5284      100
                                                           2,273,450    41,000       X      X 28-5284    35500              5500
JACADA LTD                   ORD            M6184R101        135,651    43,900       X      X 28-5284              43900
MIND C T I LTD               ORD            M70240102        705,071   582,703       X      X 28-5284             582703
RADVISION LTD                ORD            M81869105         79,200    12,000       X      X 28-5284              12000
ASML HOLDING N V             NY REG SHS     N07059186         37,339     1,505       X        28-11135    1505
CORE LABORATORIES N V        COM            N22717107        156,880     1,315       X        28-5284     1315
                                                           2,137,260    17,915       X      X 28-5284    15835              2080
ORTHOFIX INTL N V            COM            N6748L102             80         2       X        28-11135       2
   COLUMN TOTAL                                           55,679,949







                                                                                                                    FILE NO. 28-1235
PAGE   7 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          3,224       155       X        28-5284      155
                                                             122,429     5,886       X      X 28-5284     5886
                                                              13,978       672       X        28-11135     672
STEINER LEISURE LTD          ORD            P8744Y102        309,045     9,365       X        28-11135    9365
EXCEL MARITIME CARRIERS LTD  COM            V3267N107        146,750     5,000       X        28-5284     5000
ROYAL CARIBBEAN CRUISES LTD  COM            V7780T103        111,860     3,400       X        28-5284     3400
                                                             125,612     3,818       X      X 28-5284     3818
                                                             251,455     7,643       X        28-11135    7643
AEGEAN MARINE PETROLEUM NETW SHS            Y0017S102         69,446     2,030       X      X 28-5284     2030
DIANA SHIPPING INC           COM            Y2066G104          1,316        50       X        28-5284       50
                                                             169,764     6,450       X      X 28-5284     6450
DRYSHIPS INC                 SHS            Y2109Q101         50,983       851       X      X 28-5284      851
DOUBLE HULL TANKERS INC      COM            Y21110104        159,150    15,000       X      X 28-5284    15000
EAGLE BULK SHIPPING INC      COM            Y2187A101         38,640     1,500       X        28-5284     1500
                                                             374,808    14,550       X      X 28-5284    14550
FLEXTRONICS INTL LTD         ORD            Y2573F102      5,179,721   551,621       X        28-5284   501729             49892
                                                             969,348   103,232       X      X 28-5284    85838             17394
                                                              11,268     1,200       X        28-4580     1200
GENCO SHIPPING & TRADING LTD SHS            Y2685T107          4,007        71       X        28-5284       71
                                                              66,587     1,180       X        28-11135    1180
GENERAL MARITIME CORP        SHS            Y2692M103          8,264       350       X      X 28-5284      350
OMEGA NAVIGATION ENTERPRISES CLASS A        Y6476R105         14,980     1,000       X      X 28-5284     1000
QUINTANA MARITIME LTD        SHS            Y7169G109        118,400     5,000       X      X 28-5284     5000
SEASPAN CORP                 SHS            Y75638109         31,339     1,100       X        28-5284     1100
                                                             611,823    21,475       X      X 28-5284    14000              7475
                                                              85,470     3,000       X        28-4580                       3000
STAR BULK CARRIERS CORP      COM            Y8162K105         56,950     5,000       X        28-5284     5000
   COLUMN TOTAL                                            9,106,617







                                                                                                                    FILE NO. 28-1235
PAGE   8 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
STAR BULK CARRIERS CORP      *W EXP 12/16/2 Y8162K113        115,068    25,800       X        28-5284    25800
TEEKAY LNG PARTNERS L P      PRTNRSP UNITS  Y8564M105         60,312     2,100       X      X 28-5284      100              2000
TEEKAY CORPORATION           COM            Y8564W103          4,247       100       X        28-5284      100
VERIGY LTD                   SHS            Y93691106         58,347     3,097       X        28-5284     2982               115
                                                             105,429     5,596       X      X 28-5284     4887               709
                                                                 113         6       X        28-11135       6
                                                                 697        37       X        28-4580       37
AAR CORP                     COM            000361105          9,681       355       X        28-5284       65               290
                                                              40,905     1,500       X      X 28-5284                       1500
ABB LTD                      SPONSORED ADR  000375204     32,734,639 1,215,997       X        28-5284  1149563             66434
                                                          13,520,732   502,256       X      X 28-5284   464056      6532   31668
                                                             202,277     7,514       X        28-11135    7514
                                                             783,210    29,094       X        28-4580    28712               382
                                                              67,488     2,507       X      X 28-4580     2507
ACCO BRANDS CORP             COM            00081T108         51,580     3,801       X        28-5284     3801
                                                             116,973     8,620       X      X 28-5284     8265               355
                                                                 312        23       X        28-4580       23
                                                                 706        52       X      X 28-4580       52
A C MOORE ARTS & CRAFTS INC  COM            00086T103          4,092       600       X      X 28-5284      600
A D C TELECOMMUNICATIONS     COM NEW        000886309            689        57       X        28-5284       57
                                                             169,120    14,000       X      X 28-5284      450             13550
ABN AMRO HLDG NV             SPONSORED ADR  000937102         12,639       211       X        28-5284      211
                                                               3,594        60       X        28-11135      60
ABM INDS INC                 COM            000957100          7,181       320       X        28-5284                        320
AFLAC INC                    COM            001055102     10,639,395   163,809       X        28-5284   133262             30547
                                                           6,565,276   101,082       X      X 28-5284    85640             15442
                                                              77,875     1,199       X        28-11135    1199
AGCO CORP                    COM            001084102         35,928       600       X        28-5284      600
                                                                 659        11       X        28-11135      11
                                                              11,198       187       X        28-4580      187
   COLUMN TOTAL                                           65,400,362







                                                                                                                    FILE NO. 28-1235
PAGE   9 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AGL RES INC                  COM            001204106         89,404     2,605       X        28-5284     1817               788
                                                             251,497     7,328       X      X 28-5284     5378              1950
A H BELO CORP                COM CL A       001282102          2,217       194       X        28-5284      194
AES CORP                     COM            00130H105        420,534    25,227       X        28-5284    24379               848
                                                             131,660     7,898       X      X 28-5284     7213               685
AK STL HLDG CORP             COM            001547108        165,328     3,038       X        28-5284     3038
                                                             114,282     2,100       X      X 28-5284     2100
                                                              86,963     1,598       X        28-11135    1598
AMB PROPERTY CORP            COM            00163T109        484,066     8,895       X        28-5284     8895
                                                              28,298       520       X      X 28-5284      520
AMAG PHARMACEUTICALS INC     COM            00163U106         20,215       500       X        28-5284      500
AMN HEALTHCARE SERVICES INC  COM            001744101            756        49       X        28-5284       49
AMR CORP                     COM            001765106         12,042     1,335       X        28-5284     1335
                                                               9,020     1,000       X      X 28-5284     1000
                                                               3,482       386       X        28-11135     386
APP PHARMACEUTICALS INC      COM            00202H108          3,624       300       X      X 28-5284      300
AT&T INC                     COM            00206R102    178,790,834 4,668,168       X        28-5284  4418323            249845
                                                         131,206,991 3,425,770       X      X 28-5284  3105683     23476  296611
                                                           2,242,925    58,562       X        28-11135   58562
                                                           5,175,211   135,123       X        28-4580   134918               205
                                                           3,864,508   100,901       X      X 28-4580    99278       425    1198
ATMI INC                     COM            00207R101          7,514       270       X        28-5284                        270
ATP OIL & GAS CORP           COM            00208J108          3,436       105       X        28-5284      105
                                                                 818        25       X        28-11135      25
AU OPTRONICS CORP            SPONSORED ADR  002255107            447        26       X      X 28-5284       26
AVX CORP NEW                 COM            002444107         15,372     1,200       X      X 28-5284                       1200
AXT INC                      COM            00246W103          9,540     2,000       X      X 28-5284     2000
   COLUMN TOTAL                                          323,140,984







                                                                                                                    FILE NO. 28-1235
PAGE  10  OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AARON RENTS INC              COM            002535201          9,951       462       X        28-5284       60               402
                                                              55,401     2,572       X        28-11135    2572
ABBOTT LABS                  COM            002824100     94,165,868 1,707,450       X        28-5284  1599815            107635
                                                         132,041,178 2,394,219       X      X 28-5284  2250539      9510  134170
                                                           1,157,599    20,990       X        28-11135   20990
                                                           1,653,783    29,987       X        28-4580    29987
                                                           2,415,405    43,797       X      X 28-4580    42475      1322
ABERCROMBIE & FITCH CO       CL A           002896207     14,489,692   198,109       X        28-5284   189209              8900
                                                           5,919,586    80,935       X      X 28-5284    76497      1823    2615
                                                             390,129     5,334       X        28-11135    5334
                                                             427,723     5,848       X        28-4580     5789                59
                                                             115,854     1,584       X      X 28-4580     1584
ABERDEEN ASIA PACIFIC INCOM  COM            003009107         76,564    12,349       X      X 28-5284     9849              2500
ABERDEEN AUSTRALIA EQTY FD I COM            003011103          7,600       500       X        28-5284      500
ABIOMED INC                  COM            003654100        310,104    23,600       X      X 28-5284    23600
ABITIBIBOWATER INC           COM            003687100          7,152       554       X        28-4580      554
ABRAXIS BIOSCIENCE INC NEW   COM            00383Y102          4,431        75       X      X 28-5284       75
ACADIA PHARMACEUTICALS INC   COM            004225108          7,248       800       X        28-5284      800
                                                               1,812       200       X      X 28-5284      200
ACCENTIA BIOPHARMACEUTICALS  COM            00430L103          5,550     5,000       X        28-5284     5000
ACCESS INTEGRATED TECHNLGS I CL A           004329108         12,600     4,000       X        28-5284     4000
ACERGY S A                   SPONSORED ADR  00443E104          1,644        77       X        28-5284       77
                                                              10,675       500       X      X 28-5284      500
ACETO CORP                   COM            004446100          2,811       405       X        28-4580      405
ACME UTD CORP                COM            004816104        461,650    35,000       X        28-5284                      35000
ACORN INTL INC               SPON ADR       004854105          2,274       300       X      X 28-5284      300
ACTIVISION INC NEW           COM NEW        004930202        310,105    11,355       X        28-5284     7251              4104
                                                              68,821     2,520       X      X 28-5284     2520
   COLUMN TOTAL                                          254,133,210







                                                                                                                    FILE NO. 28-1235
PAGE  11 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ACTEL CORP                   COM            004934105          2,603       170       X        28-5284                        170
ACTIVE POWER INC             COM            00504W100          7,451     4,006       X      X 28-5284     4006
ACTIVIDENTITY CORP           COM            00506P103         50,000    20,000       X      X 28-5284              20000
ACTUANT CORP                 CL A NEW       00508X203         12,024       398       X        28-5284      350                48
                                                             123,861     4,100       X      X 28-5284     4100
                                                                 211         7       X        28-11135       7
ACUITY BRANDS INC            COM            00508Y102         18,211       424       X        28-5284       94               330
                                                              25,770       600       X      X 28-5284      600
ADAMS EXPRESS CO             COM            006212104         22,518     1,800       X        28-5284     1800
                                                              24,595     1,966       X      X 28-5284     1966
ADAPTEC INC                  NOTE  0.750%12 00651FAG3      2,123,000    22,000       X        28-4580    22000
ADAPTEC INC                  COM            00651F108          1,970       670       X        28-5284                        670
                                                             129,345    43,995       X      X 28-5284              43995
ADMINISTAFF INC              COM            007094105          4,840       205       X        28-5284       25               180
ADOBE SYS INC                COM            00724F101      2,728,258    76,658       X        28-5284    62271             14387
                                                           1,555,603    43,709       X      X 28-5284    37642              6067
                                                               4,093       115       X        28-11135     115
ADTRAN INC                   COM            00738A106         13,320       720       X        28-5284      720
                                                              57,350     3,100       X      X 28-5284     3100
ADVANCE AUTO PARTS INC       COM            00751Y106        121,865     3,579       X      X 28-5284     3579
ADVANTAGE ENERGY INCOME FD   TR UNIT        00762L101        139,446    12,200       X        28-5284    10200              2000
ADVANTEST CORP               SPON ADR NEW   00762U200          8,765       333       X        28-5284      333
                                                             127,810     4,856       X        28-11135    4856
ADVISORY BRD CO              COM            00762W107          5,000        91       X        28-5284       91
ADVANCED MEDICAL OPTICS INC  COM            00763M108         29,496     1,453       X        28-5284     1453
                                                             112,381     5,536       X      X 28-5284     5536
                                                               1,076        53       X      X 28-4580       53
   COLUMN TOTAL                                            7,450,862







                                                                                                                    FILE NO. 28-1235
PAGE  12 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ADVENT CLAYMORE CV SECS & IN COM            00764C109          7,055       332       X        28-5284      332
AECOM TECHNOLOGY CORP DELAWA COM            00766T100          8,973       345       X        28-5284      345
AEROPOSTALE                  COM            007865108         56,768     2,094       X        28-5284     2094
                                                              16,537       610       X      X 28-5284      610
ADVANCED MICRO DEVICES INC   COM            007903107         30,039     5,100       X        28-5284     5100
AEGON N V                    NY REGISTRY SH 007924103        937,619    64,045       X        28-5284    64045
                                                           3,290,823   224,783       X      X 28-5284   212529      1001   11253
                                                             412,848    28,200       X        28-11135   28200
ADVANTA CORP                 CL A           007942105      5,380,900   899,816       X        28-5284    10176            889640
ADVANTA CORP                 CL B           007942204      1,093,221   155,508       X        28-5284   155508
ADVANCED ENERGY INDS         COM            007973100          3,448       260       X        28-5284                        260
                                                             431,361    32,531       X        28-11135   32531
ADVENT SOFTWARE INC          COM            007974108         51,272     1,203       X        28-5284                       1203
AEROVIRONMENT INC            COM            008073108         55,215     2,700       X      X 28-5284                       2700
AES TR III                   PFD CV 6.75%   00808N202         69,750     1,500       X        28-5284     1500
                                                              99,045     2,130       X      X 28-5284     2130
                                                               4,650       100       X        28-11135     100
AETNA INC NEW                COM            00817Y108        812,127    19,295       X        28-5284    17105              2190
                                                           2,632,224    62,538       X      X 28-5284    62038               500
                                                              94,240     2,239       X        28-11135    2239
AFFILIATED COMPUTER SERVICES CL A           008190100      1,510,817    30,150       X        28-5284    30150
                                                           1,145,014    22,850       X      X 28-5284    22850
                                                               2,806        56       X        28-11135      56
AFFILIATED MANAGERS GROUP    COM            008252108         65,787       725       X        28-5284      725
                                                              14,065       155       X        28-11135     155
AFFYMETRIX INC               COM            00826T108          3,482       200       X        28-5284      200
AFTERMARKET TECHNOLOGY CORP  COM            008318107      1,069,200    55,000       X      X 28-5284    55000
                                                              48,600     2,500       X        28-4580                       2500
   COLUMN TOTAL                                           19,347,886







                                                                                                                    FILE NO. 28-1235
PAGE  13 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AGILENT TECHNOLOGIES INC     COM            00846U101      1,091,808    36,601       X        28-5284    34291              2310
                                                           3,488,469   116,945       X      X 28-5284   110692       305    5948
                                                               1,700        57       X        28-11135      57
                                                               1,790        60       X        28-4580       60
                                                              28,935       970       X      X 28-4580      610       360
AGILYSYS INC                 COM            00847J105         92,800     8,000       X      X 28-5284     8000
AGNICO EAGLE MINES LTD       COM            008474108        197,036     2,910       X        28-5284     1000              1910
                                                             298,601     4,410       X      X 28-5284     4160               250
AGRIUM INC                   COM            008916108         32,918       530       X        28-5284      530
                                                             939,103    15,120       X      X 28-5284    15120
                                                              33,726       543       X        28-11135     543
AIR METHODS CORP             COM PAR $.06   009128307          4,111        85       X        28-5284       85
                                                             343,427     7,100       X      X 28-5284     7100
                                                              54,513     1,127       X        28-11135    1127
AIR PRODS & CHEMS INC        COM            009158106     33,653,140   365,795       X        28-5284   350333             15462
                                                          28,515,032   309,946       X      X 28-5284   272741      7200   30005
                                                             276,920     3,010       X        28-4580     3010
                                                             445,832     4,846       X      X 28-4580     4846
AIRGAS INC                   COM            009363102        191,974     4,222       X        28-5284     4222
                                                             476,889    10,488       X      X 28-5284    10488
AIXTRON AKTIENGESELLSCHAFT   SPONSORED ADR  009606104          9,604       701       X        28-5284      701
AKAMAI TECHNOLOGIES INC      COM            00971T101      1,124,739    39,941       X        28-5284    34711              5230
                                                              52,997     1,882       X      X 28-5284     1882
ALABAMA AIRCRAFT IND INC     COM            01023E100          4,085     1,399       X      X 28-5284               1399
ALAMO GROUP INC              COM            011311107          4,105       193       X        28-4580      193
ALASKA AIR GROUP INC         COM            011659109      1,540,621    78,523       X        28-5284    72170              6353
                                                             107,910     5,500       X      X 28-5284     5470                30
                                                                 961        49       X        28-11135      49
ALASKA COMMUNICATIONS SYS GR COM            01167P101          6,120       500       X      X 28-5284      500
   COLUMN TOTAL                                           73,019,866







                                                                                                                    FILE NO. 28-1235
PAGE  14 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ALBEMARLE CORP               COM            012653101         94,696     2,593       X        28-5284     2593
                                                             387,149    10,601       X      X 28-5284     9001              1600
                                                              16,726       458       X        28-11135     458
ALBERTO CULVER CO NEW        COM            013078100          6,167       225       X      X 28-5284      225
ALCOA INC                    COM            013817101     11,568,697   320,818       X        28-5284   304363             16455
                                                          13,700,204   379,928       X      X 28-5284   358849       300   20779
                                                             188,810     5,236       X        28-11135    5236
                                                             155,779     4,320       X        28-4580     4320
                                                             294,574     8,169       X      X 28-4580     8169
ALCATEL-LUCENT               SPONSORED ADR  013904305         84,476    14,666       X        28-5284    14022               644
                                                             206,340    35,823       X      X 28-5284    32932              2891
                                                              44,173     7,669       X        28-11135    7669
                                                              33,984     5,900       X        28-11439    5900
                                                                 789       137       X        28-4580      137
                                                               1,797       312       X      X 28-4580      312
ALDILA INC                   COM NEW        014384200          7,125       625       X        28-5284      625
                                                             117,625    10,318       X      X 28-5284              10318
ALEXANDER & BALDWIN INC      COM            014482103         99,084     2,300       X        28-5284     2300
                                                             425,200     9,870       X      X 28-5284     8100              1770
ALESCO FINL INC              COM            014485106            876       304       X        28-5284      304
ALEXANDRIA REAL ESTATE EQ IN COM            015271109        889,185     9,590       X        28-5284     9590
                                                              52,850       570       X      X 28-5284      570
ALFACELL CORP                COM            015404106         19,992     8,400       X        28-5284     8400
ALICO INC                    COM            016230104        548,785    12,430       X      X 28-5284              12430
ALIGN TECHNOLOGY INC         COM            016255101         88,358     7,953       X        28-5284     7953
                                                             484,396    43,600       X      X 28-5284    20300             23300
ALKERMES INC                 COM            01642T108            713        60       X      X 28-5284       60
                                                                 701        59       X        28-11135      59
ALLEGHANY CORP DEL           COM            017175100     38,971,980   114,120       X      X 28-5284    77147             36973
   COLUMN TOTAL                                           68,491,231







                                                                                                                    FILE NO. 28-1235
PAGE  15 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ALLEGHENY ENERGY INC         COM            017361106        310,676     6,152       X        28-5284     6152
                                                           3,725,840    73,779       X      X 28-5284     3298             70481
                                                               5,050       100       X      X 28-4580      100
ALLEGHENY TECHNOLOGIES INC   COM            01741R102      5,760,251    80,721       X        28-5284    79389              1332
                                                           4,606,859    64,558       X      X 28-5284    63448        50    1060
                                                              71,003       995       X        28-4580      995
                                                              14,272       200       X      X 28-4580      200
ALLERGAN INC                 COM            018490102     28,463,134   504,755       X        28-5284   487807             16948
                                                          21,227,000   376,432       X      X 28-5284   369369       600    6463
                                                             137,197     2,433       X        28-11135    2433
                                                             656,380    11,640       X        28-4580    11440               200
                                                             481,345     8,536       X      X 28-4580     8536
ALLETE INC                   COM NEW        018522300        248,288     6,429       X      X 28-5284      954              5475
                                                              41,903     1,085       X        28-11135    1085
ALLIANCE DATA SYSTEMS CORP   COM            018581108        119,535     2,516       X        28-5284     1536       980
                                                              93,595     1,970       X      X 28-5284     1970
ALLIANCE HOLDINGS GP LP      COM UNITS LP   01861G100          3,441       150       X        28-5284      150
ALLIANCEBERNSTEIN NATL MUNI  COM            01864U106        122,287     8,823       X        28-5284     8823
                                                               6,043       436       X      X 28-5284      436
ALLIANCE FIBER OPTIC PRODS I COM            018680108      1,268,511   983,342       X      X 28-5284             983342
ALLIANCE RES PARTNER L P     UT LTD PART    01877R108        108,080     3,088       X        28-5284     3088
                                                              52,500     1,500       X      X 28-5284     1500
ALLIANCEBERNSTEIN GBL HGH IN COM            01879R106        175,619    13,406       X        28-5284    13406
                                                             126,821     9,681       X      X 28-5284     9681
ALLIANT ENERGY CORP          COM            018802108         37,986     1,085       X        28-5284      785               300
                                                             344,884     9,851       X      X 28-5284     4551              5300
                                                              94,247     2,692       X        28-11135    2692
                                                               5,427       155       X        28-4580      155
ALLIANT TECHSYSTEMS INC      COM            018804104        163,267     1,577       X        28-5284     1577
                                                           1,122,369    10,841       X      X 28-5284     6841              4000
   COLUMN TOTAL                                           69,593,810







                                                                                                                    FILE NO. 28-1235
PAGE  16 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ALLIANZ SE                   SP ADR 1/10 SH 018805101         51,116     2,600       X        28-5284     2600
                                                              32,478     1,652       X      X 28-5284     1652
                                                             551,738    28,064       X        28-11135   28064
                                                               5,603       285       X        28-4580      285
ALLIANCEBERNSTEIN INCOME FUN COM            01881E101        111,365    13,548       X        28-5284    13548
                                                             840,848   102,293       X      X 28-5284    25927             76366
ALLIANCEBERNSTEIN HOLDING LP UNIT LTD PARTN 01881G106        325,013     5,128       X        28-5284     4128              1000
                                                           2,330,039    36,763       X      X 28-5284    36563               200
                                                              26,746       422       X        28-11135     422
ALLIED CAP CORP NEW          COM            01903Q108        353,487    19,180       X        28-5284      780             18400
                                                             327,980    17,796       X      X 28-5284    17796
                                                              36,823     1,998       X        28-4580     1998
ALLIED IRISH BKS P L C       SPON ADR ORD   019228402      2,243,719    51,962       X        28-5284    46918              5044
                                                           3,909,863    90,548       X      X 28-5284    90548
                                                             485,300    11,239       X        28-11135   11239
                                                              31,780       736       X        28-4580      736
ALLIED WASTE INDS INC        SDCV  4.250% 4 019589AD2      1,281,000    14,000       X        28-4580    14000
ALLIED WASTE INDS INC        COM PAR$.01NEW 019589308        148,183    13,708       X        28-5284     3608             10100
                                                                 357        33       X      X 28-5284       33
                                                              53,737     4,971       X        28-11135    4971
                                                              20,550     1,901       X        28-4580     1901
ALLOS THERAPEUTICS INC       COM            019777101         30,400     5,000       X        28-5284     5000
ALLSCRIPTS HEALTHCARE SOLUTI COM            01988P108          1,032       100       X        28-5284      100
                                                              43,860     4,250       X      X 28-5284     4250
ALLSTATE CORP                COM            020002101     18,586,676   386,739       X        28-5284   348016             38723
                                                          18,833,561   391,876       X      X 28-5284   375907       125   15844
                                                           1,106,197    23,017       X        28-11135   23017
                                                             377,944     7,864       X        28-4580     7864
                                                              79,059     1,645       X      X 28-4580     1645
ALMOST FAMILY INC            COM            020409108      3,810,217   191,372       X        28-4580   191372
ALON USA ENERGY INC          COM            020520102         30,420     2,000       X        28-5284     2000
                                                              22,678     1,491       X        28-11135    1491
   COLUMN TOTAL                                           56,089,769







                                                                                                                    FILE NO. 28-1235
PAGE  17 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ALPHA NATURAL RESOURCES INC  COM            02076X102        162,162     3,733       X        28-5284     3733
                                                              47,784     1,100       X      X 28-5284      500               600
ALPHARMA INC                 CL A           020813101          8,387       320       X        28-5284                        320
ALPINE GLOBAL DYNAMIC DIVD F COM            02082E106         18,450     1,000       X      X 28-5284     1000
ALPINE GLOBAL PREMIER PPTYS  COM SBI        02083A103         25,340     2,000       X      X 28-5284     2000
ALPINE TOTAL DYNAMIC DIVID F COM SBI        021060108         45,225     2,809       X        28-5284     2809
ALSIUS CORPORATION           COM            021211107            775       421       X      X 28-5284                421
ALTAIR NANOTECHNOLOGIES INC  COM            021373105          2,640     1,000       X        28-5284     1000
                                                              31,680    12,000       X      X 28-5284                      12000
                                                               3,960     1,500       X      X 28-4580     1500
ALTERA CORP                  COM            021441100      1,108,306    60,136       X        28-5284    12836             47300
                                                             610,033    33,100       X      X 28-5284     1000             32100
ALTRIA GROUP INC             COM            02209S103     32,256,045 1,452,975       X        28-5284  1321251       259  131465
                                                          91,699,964 4,130,629       X      X 28-5284  1626152      2345 2502132
                                                             224,309    10,104       X        28-11135   10104
                                                           1,231,256    55,462       X        28-4580    55462
                                                             990,298    44,608       X      X 28-4580    43327              1281
ALTUS PHARMACEUTICALS INC    COM            02216N105         15,925     3,500       X        28-5284     3500
ALUMINA LTD                  SPONSORED ADR  022205108         32,388     1,590       X        28-5284     1590
                                                               4,481       220       X        28-4580      220
AMAZON COM INC               COM            023135106      3,396,090    47,631       X        28-5284    32906             14725
                                                             494,751     6,939       X      X 28-5284     5439              1500
                                                               5,847        82       X        28-11135      82
                                                              21,390       300       X        28-4580      300
AMBAC FINL GROUP INC         COM            023139108            690       120       X        28-5284      120
                                                                  46         8       X      X 28-5284        8
                                                                 431        75       X        28-11135      75
                                                             199,525    34,700       X        28-11439   34700
AMCOL INTL CORP              COM            02341W103         20,300       650       X        28-5284      650
   COLUMN TOTAL                                          132,658,478







                                                                                                                    FILE NO. 28-1235
PAGE  18 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AMEDISYS INC                 COM            023436108          5,704       145       X        28-5284      145
                                                               9,206       234       X      X 28-5284      234
AMEREN CORP                  COM            023608102        598,812    13,597       X        28-5284     3597             10000
                                                             414,637     9,415       X      X 28-5284     9415
                                                               4,712       107       X        28-4580      107
                                                             145,112     3,295       X      X 28-4580     3295
AMERICA MOVIL SAB DE CV      SPON ADR L SHS 02364W105     28,881,313   453,467       X        28-5284   429751             23716
                                                           8,016,342   125,865       X      X 28-5284   113537      2363    9965
                                                             232,341     3,648       X        28-11135    3648
                                                             267,307     4,197       X        28-4580     4197
                                                             114,260     1,794       X      X 28-4580     1794
AMERICA MOVIL SAB DE CV      SPON ADR A SHS 02364W204        200,053     3,144       X        28-5284     3144
AMERICAN AXLE & MFG HLDGS IN COM            024061103          1,087        53       X        28-11135      53
                                                               8,200       400       X        28-4580      400
AMERICAN BANCORP N J INC     COM            02407E104        312,600    30,000       X      X 28-5284    30000
AMER BIO MEDICA CORP         COM            024600108          3,500     5,000       X      X 28-5284     5000
AMERICAN CAMPUS CMNTYS INC   COM            024835100        328,183    11,995       X        28-5284    11995
                                                              17,784       650       X      X 28-5284      650
                                                               1,833        67       X      X 28-4580       67
AMERICAN CAPITAL STRATEGIES  COM            024937104        580,720    17,000       X        28-5284     6500             10500
                                                             429,801    12,582       X      X 28-5284    11182              1400
                                                             142,174     4,162       X        28-11135    4162
AMERICAN EAGLE OUTFITTERS NE COM            02553E106        137,856     7,873       X        28-5284     7873
                                                              15,514       886       X      X 28-5284      386               500
                                                               4,728       270       X        28-11135     270
AMERICAN ECOLOGY CORP        COM NEW        025533407          3,040       120       X        28-5284      120
                                                           1,522,333    60,100       X      X 28-5284    60100
AMERICAN ELEC PWR INC        COM            025537101      2,114,679    50,797       X        28-5284    44638              6159
                                                           3,155,721    75,804       X      X 28-5284    32350             43454
                                                                 583        14       X        28-11135      14
                                                              33,512       805       X        28-4580      805
                                                              84,051     2,019       X      X 28-4580     1477               542
   COLUMN TOTAL                                           47,787,698







                                                                                                                    FILE NO. 28-1235
PAGE  19 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AMERICAN EQTY INVT LIFE HLD  COM            025676206          1,680       181       X        28-5284      181
AMERICAN EXPRESS CO          COM            025816109     31,834,018   728,134       X        28-5284   701991             26143
                                                          27,710,829   633,825       X      X 28-5284   571522      6525   55778
                                                              90,282     2,065       X        28-11135    2065
                                                             363,444     8,313       X        28-4580     8313
                                                             542,128    12,400       X      X 28-4580    12400
AMERICAN FINL GROUP INC OHIO COM            025932104         88,693     3,470       X        28-5284      138              3332
AMERICAN FINL RLTY TR        COM            02607P305         99,568    12,540       X      X 28-5284    12540
AMERICAN GREETINGS CORP      CL A           026375105         16,843       908       X        28-5284      908
                                                               3,710       200       X      X 28-5284      200
                                                               2,226       120       X        28-4580      120
AMERICAN INCOME FD INC       COM            02672T109        332,500    43,750       X      X 28-5284                      43750
AMERICAN INDEPENDENCE CORP   COM NEW        026760405        267,865    36,198       X      X 28-5284              36198
AMERICAN INTL GROUP INC      COM            026874107    103,521,816 2,393,568       X        28-5284  2216210            177358
                                                          59,529,300 1,376,400       X      X 28-5284  1270158      3675  102567
                                                           1,169,956    27,051       X        28-11135   27051
                                                           1,055,819    24,412       X        28-4580    24342                70
                                                             431,030     9,966       X      X 28-4580     9966
AMERICAN LD LEASE INC        COM            027118108          1,255        61       X      X 28-5284       61
AMERICAN MED SYS HLDGS INC   COM            02744M108         69,531     4,900       X      X 28-5284     4900
AMERICAN NATL INS CO         COM            028591105         21,340       200       X      X 28-5284      200
AMERICAN OIL & GAS INC NEW   COM            028723104          3,270     1,000       X      X 28-5284     1000
AMERICAN ORIENTAL BIOENGR IN COM            028731107          4,001       494       X        28-5284      494
AMERICAN RAILCAR INDS INC    COM            02916P103         30,495     1,500       X      X 28-5284                       1500
AMERICAN SCIENCE & ENGR INC  COM            029429107         38,199       700       X      X 28-5284      700
AMERICAN SELECT PORTFOLIO IN COM            029570108        328,248    28,200       X      X 28-5284                      28200
   COLUMN TOTAL                                          227,558,046







                                                                                                                    FILE NO. 28-1235
PAGE  20 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AMERICAN STS WTR CO          COM            029899101          8,640       240       X        28-5284      100               140
                                                              43,200     1,200       X      X 28-5284                       1200
                                                              18,000       500       X        28-4580      500
AMERICAN TOWER CORP          NOTE  3.000% 8 029912AR3      9,830,000     5,000       X        28-11439    5000
AMERICAN TOWER CORP          CL A           029912201      1,708,811    43,581       X        28-5284    42707               874
                                                             568,349    14,495       X      X 28-5284     6570              7925
                                                              34,818       888       X        28-11135     888
                                                             148,998     3,800       X        28-11439    3800
                                                               8,156       208       X        28-4580      208
AMERICAN STRATEGIC INCOME II COM            03009T101        626,289    57,300       X      X 28-5284                      57300
AMERICAN STRATEGIC INCM PTFL COM            030098107        136,832    12,800       X      X 28-5284                      12800
AMERN STRATEGIC INCOME PTFL  COM            030099105        653,739    60,700       X      X 28-5284                      60700
AMERICAN SUPERCONDUCTOR CORP COM            030111108        301,470    13,000       X      X 28-5284    10000              3000
AMERICAN WOODMARK CORP       COM            030506109            617        30       X        28-11135      30
AMERICREDIT CORP             NOTE 0.750%    03060RAP6        307,812       500       X        28-11439     500
AMERICREDIT CORP             COM            03060R101        148,099    14,707       X      X 28-5284                      14707
AMERICASBANK CORP            COM NEW        03061G302        119,875    68,500       X      X 28-5284    68500
AMERISTAR CASINOS INC        COM            03070Q101         58,400     3,200       X      X 28-5284     3200
AMERISAFE INC                COM            03071H100         53,164     4,206       X        28-11135    4206
AMERIGROUP CORP              NOTE 2.000%    03073TAB8      1,873,738     2,000       X        28-11439    2000
AMERISOURCEBERGEN CORP       COM            03073E105        187,443     4,574       X        28-5284      774              3800
                                                             123,104     3,004       X      X 28-5284     2754               250
                                                             134,988     3,294       X        28-11135    3294
AMERIGROUP CORP              COM            03073T102          5,411       198       X        28-5284      198
                                                               1,804        66       X        28-11135      66
AMERITYRE CORP               COM            03073V107          8,787     4,350       X        28-5284     4350
                                                              20,200    10,000       X      X 28-5284    10000
   COLUMN TOTAL                                           17,130,744







                                                                                                                    FILE NO. 28-1235
PAGE  21 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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      1,658,682    31,990       X        28-5284    22995              8995
                                                           1,438,578    27,745       X      X 28-5284    23325      1200    3220
                                                                 207         4       X        28-11135       4
                                                               5,704       110       X        28-4580      110
                                                               4,667        90       X      X 28-4580       90
AMERIGAS PARTNERS L P        UNIT L P INT   030975106         77,787     2,580       X        28-5284     2580
                                                             110,048     3,650       X      X 28-5284     3650
AMETEK INC NEW               COM            031100100        302,540     6,890       X        28-5284     6890
                                                           2,967,350    67,578       X      X 28-5284    67578
                                                              27,444       625       X        28-11135     625
AMGEN INC                    COM            031162100     20,640,281   494,023       X        28-5284   454007             40016
                                                          10,765,870   257,680       X      X 28-5284   211050       967   45663
                                                              41,446       992       X        28-11135     992
                                                             197,619     4,730       X        28-4580     4730
                                                             235,430     5,635       X      X 28-4580     5635
AMKOR TECHNOLOGY INC         COM            031652100        465,450    43,500       X      X 28-5284    43500
AMPAL AMERN ISRAEL CORP      CL A           032015109            141        22       X        28-5284                         22
                                                              27,014     4,221       X      X 28-5284     4221
AMPCO-PITTSBURGH CORP        COM            032037103         68,784     1,600       X      X 28-5284                       1600
AMPHENOL CORP NEW            CL A           032095101      9,277,075   249,049       X        28-5284   244806              4243
                                                           7,998,320   214,720       X      X 28-5284   209752       900    4068
                                                             159,169     4,273       X        28-11135    4273
                                                              28,310       760       X        28-4580      760
                                                              52,150     1,400       X      X 28-4580     1400
AMSURG CORP                  COM            03232P405         23,088       975       X        28-5284      975
AMYLIN PHARMACEUTICALS INC   COM            032346108          1,957        67       X        28-5284       67
                                                             118,008     4,040       X      X 28-5284     4040
AMTRUST FINANCIAL SERVICES I COM            032359309          4,798       296       X        28-5284      296
   COLUMN TOTAL                                           56,697,917







                                                                                                                    FILE NO. 28-1235
PAGE  22 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ANADARKO PETE CORP           COM            032511107      6,619,915   105,028       X        28-5284    98262              6766
                                                           7,667,536   121,649       X      X 28-5284   119143              2506
                                                              40,970       650       X        28-11135     650
                                                              76,266     1,210       X        28-4580     1210
                                                               3,782        60       X      X 28-4580       60
ANALOG DEVICES INC           COM            032654105        399,789    13,543       X        28-5284    13343               200
                                                             820,656    27,800       X      X 28-5284    15686             12114
ANALOGIC CORP                COM PAR $0.05  032657207         24,420       367       X        28-5284                        367
ANCHOR BANCORP WIS INC       COM            032839102          2,656       140       X        28-5284                        140
ANESIVA INC COM              COM            03460L100        309,528    97,336       X      X 28-5284              97336
ANGELICA CORP                COM            034663104          1,256        70       X        28-5284                         70
ANGLO AMERN PLC              ADR NEW        03485P201        247,895     8,327       X        28-5284     5393              2934
                                                           1,623,566    54,537       X      X 28-5284    53437              1100
ANGLOGOLD ASHANTI LTD        SPONSORED ADR  035128206         11,241       331       X        28-5284      331
                                                              59,430     1,750       X      X 28-5284     1150               600
                                                              23,500       692       X        28-4580      692
ANHEUSER BUSCH COS INC       COM            035229103     18,137,810   382,251       X        28-5284   360831             21420
                                                          19,932,464   420,073       X      X 28-5284   404055       325   15693
                                                             807,599    17,020       X        28-4580    17020
                                                             158,958     3,350       X      X 28-4580     3350
ANIMAL HEALTH INTL INC       COM            03525N109          1,532       140       X        28-5284      140
ANIKA THERAPEUTICS INC       COM            035255108         52,576     6,200       X        28-5284     6200
                                                              11,024     1,300       X      X 28-5284     1300
ANIXTER INTL INC             COM            035290105         27,793       434       X        28-5284      194               240
ANNALY CAP MGMT INC          COM            035710409        348,530    22,750       X        28-5284    22750
                                                             498,988    32,571       X      X 28-5284    32571
                                                              93,084     6,076       X        28-11135    6076
ANSOFT CORP                  COM            036384105        159,223     5,217       X        28-5284     5217
   COLUMN TOTAL                                           58,161,987







                                                                                                                    FILE NO. 28-1235
PAGE  23 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         99,763     2,890       X        28-5284     2300               590
                                                             414,067    11,995       X      X 28-5284     5495              6500
                                                             403,435    11,687       X        28-11135   11687
ANTHRACITE CAP INC           COM            037023108         22,605     3,425       X        28-5284     3425
                                                             327,393    49,605       X      X 28-5284    49605
AON CORP                     COM            037389103        538,801    13,403       X        28-5284    13403
                                                           1,709,827    42,533       X      X 28-5284    42533
                                                              52,059     1,295       X        28-11135    1295
                                                               4,020       100       X        28-4580      100
APACHE CORP                  COM            037411105     12,348,650   102,207       X        28-5284    59546             42661
                                                          14,658,003   121,321       X      X 28-5284    94682             26639
                                                             512,639     4,243       X        28-11135    4243
                                                              40,475       335       X        28-4580      335
APARTMENT INVT & MGMT CO     CL A           03748R101         11,746       328       X        28-5284      328
                                                                 394        11       X      X 28-5284       11
                                                              81,754     2,283       X        28-11135    2283
APOGEE ENTERPRISES INC       COM            037598109         36,991     2,402       X        28-5284     2192               210
                                                              15,400     1,000       X      X 28-5284     1000
                                                              33,711     2,189       X        28-11135    2189
APOLLO GROUP INC             CL A           037604105        613,958    14,212       X        28-5284     9792              4420
                                                             770,256    17,830       X      X 28-5284    13400      1500    2930
APOLLO INVT CORP             COM            03761U106         79,150     5,000       X        28-5284     5000
                                                             193,284    12,210       X      X 28-5284    12210
                                                               1,646       104       X        28-11135     104
                                                              31,074     1,963       X      X 28-4580     1963
APPLE INC                    COM            037833100     79,852,154   556,461       X        28-5284   516468       320   39673
                                                          31,862,023   222,035       X      X 28-5284   211599      2725    7711
                                                           2,360,719    16,451       X        28-11135   16451
                                                           1,724,727    12,019       X        28-4580    11836               183
                                                             563,381     3,926       X      X 28-4580     3776       150
APRIA HEALTHCARE GROUP INC   COM            037933108         21,923     1,110       X        28-5284     1110
                                                              19,059       965       X        28-4580      965
   COLUMN TOTAL                                          149,405,087







                                                                                                                    FILE NO. 28-1235
PAGE  24 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
APPLERA CORP                 COM AP BIO GRP 038020103        109,325     3,327       X        28-5284     3327
                                                             315,587     9,604       X      X 28-5284     8940               664
APPLERA CORP                 COM CELERA GRP 038020202         14,700     1,000       X        28-5284     1000
                                                               5,880       400       X      X 28-5284      400
APPLIED INDL TECHNOLOGIES IN COM            03820C105         24,420       817       X        28-5284      535               282
                                                             161,854     5,415       X      X 28-5284     5415
                                                             190,220     6,364       X        28-11135    6364
APPLIED MICRO CIRCUITS CORP  COM NEW        03822W406          2,621       365       X        28-5284      365
APPLIED MATLS INC            COM            038222105     10,712,746   549,090       X        28-5284   525205             23885
                                                           3,982,147   204,108       X      X 28-5284   195028      2000    7080
                                                             223,331    11,447       X        28-11135   11447
APTARGROUP INC               COM            038336103         77,860     2,000       X      X 28-5284     2000
AQUA AMERICA INC             COM            03836W103      1,624,808    86,518       X        28-5284    86518
                                                           2,468,105   131,422       X      X 28-5284   125012              6410
                                                               1,878       100       X        28-11135     100
                                                               6,254       333       X        28-4580      333
AQUILA INC                   COM            03840P102         32,100    10,000       X      X 28-5284                      10000
ARACRUZ CELULOSE S A         SPON ADR PFD B 038496204         17,065       250       X      X 28-5284      250
ARBINET THEXCHANGE INC       COM            03875P100        484,441   115,895       X      X 28-5284             115895
ARBITRON INC                 COM            03875Q108          9,495       220       X        28-5284                        220
ARC WIRELESS SOLUTIONS INC   COM NEW        03878K207         48,590     9,718       X      X 28-5284               9718
ARBOR RLTY TR INC            COM            038923108          1,056        70       X        28-5284       70
ARCH CHEMICALS INC           COM            03937R102         17,326       465       X        28-5284      275               190
                                                             273,563     7,342       X      X 28-5284     7342
ARCELORMITTAL SA LUXEMBOURG  NY REGISTRY SH 03938L104        283,273     3,463       X        28-5284      163              3300
                                                              62,250       761       X      X 28-5284      761
   COLUMN TOTAL                                           21,150,895







                                                                                                                    FILE NO. 28-1235
PAGE  25 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ARCH COAL INC                COM            039380100        733,584    16,864       X        28-5284    16702               162
                                                              39,020       897       X      X 28-5284      197               700
                                                              10,353       238       X        28-4580      238
ARCHER DANIELS MIDLAND CO    COM            039483102     17,641,176   428,600       X        28-5284   406428             22172
                                                           6,654,502   161,674       X      X 28-5284   142646      6628   12400
                                                             358,339     8,706       X        28-11135    8706
                                                             370,893     9,011       X        28-4580     9011
                                                              57,912     1,407       X      X 28-4580     1407
ARCTIC CAT INC               COM            039670104            583        80       X        28-5284                         80
ARES CAP CORP                COM            04010L103         49,903     3,970       X      X 28-5284                       3970
                                                              45,001     3,580       X        28-11135    3580
ARIAD PHARMACEUTICALS INC    COM            04033A100         16,850     5,000       X        28-5284     5000
                                                              16,850     5,000       X      X 28-5284     5000
ARIBA INC                    COM NEW        04033V203          1,604       166       X        28-5284      166
ARKANSAS BEST CORP DEL       COM            040790107          7,646       240       X        28-5284       40               200
                                                               3,186       100       X      X 28-5284      100
ARM HLDGS PLC                SPONSORED ADR  042068106         18,888     3,584       X        28-5284               3584
AROTECH CORP                 COM NEW        042682203            358       131       X      X 28-5284      131
ARQULE INC                   COM            04269E107            942       220       X        28-5284                        220
ARRIS GROUP INC              COM            04269Q100            960       165       X        28-5284      165
                                                               1,344       231       X      X 28-5284      231
ARRAY BIOPHARMA INC          COM            04269X105         35,050     5,000       X        28-5284     5000
ARROW ELECTRS INC            COM            042735100        112,256     3,336       X        28-5284      236              3100
                                                              68,141     2,025       X      X 28-5284      225              1800
                                                               2,288        68       X        28-11135      68
ARROWHEAD RESH CORP          COM            042797100          2,830     1,000       X        28-5284     1000
ARTES MEDICAL INC            COM            04301Q100            390       300       X        28-5284      300
                                                              30,588    23,529       X      X 28-5284    23529
   COLUMN TOTAL                                           26,281,437







                                                                                                                    FILE NO. 28-1235
PAGE  26 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ARTESIAN RESOURCES CORP      CL A           043113208         54,327     2,935       X        28-5284     2935
                                                              37,946     2,050       X      X 28-5284     2050
ARTHROCARE CORP              COM            043136100         13,674       410       X        28-5284      200               210
ARVINMERITOR INC             COM            043353101         46,137     3,688       X        28-5284     3688
                                                              11,547       923       X      X 28-5284      923
ASBURY AUTOMOTIVE GROUP INC  COM            043436104          1,046        76       X        28-5284       76
ASHFORD HOSPITALITY TR INC   COM SHS        044103109        177,784    31,300       X      X 28-5284    31300
                                                              30,990     5,456       X        28-11135    5456
ASHLAND INC NEW              COM            044209104        650,564    13,754       X        28-5284    10754              3000
                                                              88,593     1,873       X      X 28-5284     1873
ASIA TIGERS FD INC           COM            04516T105          6,789       300       X        28-5284      300
ASPENBIO PHARMA INC          COM            045346103          5,780     1,000       X        28-5284     1000
                                                               5,780     1,000       X      X 28-5284     1000
ASSOCIATED BANC CORP         COM            045487105        534,384    20,067       X        28-5284    18359              1708
                                                             859,297    32,268       X      X 28-5284    15308      4750   12210
                                                              16,218       609       X        28-4580      609
ASSURANT INC                 COM            04621X108        415,309     6,824       X        28-5284       48              6776
                                                                 243         4       X      X 28-5284        4
ASTA FDG INC                 COM            046220109        188,166    13,508       X        28-11135   13508
ASTEC INDS INC               COM            046224101          5,814       150       X        28-5284                        150
                                                              50,659     1,307       X        28-11135    1307
ASTORIA FINL CORP            COM            046265104          2,444        90       X        28-5284       90
                                                                 217         8       X      X 28-5284        8
                                                               8,637       318       X        28-11135     318
ASTRAZENECA PLC              SPONSORED ADR  046353108        145,730     3,836       X        28-5284     3836
                                                              53,338     1,404       X      X 28-5284      804               600
                                                              67,546     1,778       X        28-11135    1778
   COLUMN TOTAL                                            3,478,959







                                                                                                                    FILE NO. 28-1235
PAGE  27 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ATHEROS COMMUNICATIONS INC   COM            04743P108         12,504       600       X      X 28-5284      600
                                                             189,873     9,111       X        28-11135    9111
ATLAS AMER INC               COM            049167109        523,169     8,656       X        28-5284     8656
                                                             193,589     3,203       X      X 28-5284     3203
ATLAS PIPELINE PARTNERS LP   UNIT L P INT   049392103         60,651     1,514       X        28-5284     1514
ATMEL CORP                   COM            049513104        330,600    95,000       X      X 28-5284    95000
ATMOS ENERGY CORP            COM            049560105        329,690    12,929       X        28-5284     6539              6390
                                                             155,805     6,110       X      X 28-5284     4800              1310
ATWOOD OCEANICS INC          COM            050095108         94,196     1,027       X        28-5284      827               200
                                                           2,109,560    23,000       X      X 28-5284    23000
                                                             102,543     1,118       X        28-11135    1118
AUDIOCODES LTD               NOTE  2.000%11 050732AB2        368,500     4,000       X        28-4580     4000
AUDIOVOX CORP                CL A           050757103          1,175       110       X        28-5284                        110
AUSTRAL PAC ENERGY LTD       COM            052526100          1,040     1,600       X        28-5284     1600
AUTODESK INC                 COM            052769106        780,263    24,786       X        28-5284    21586              3200
                                                             964,232    30,630       X      X 28-5284    18545             12085
                                                              27,545       875       X        28-11135     875
AUTOLIV INC                  COM            052800109        497,432     9,909       X        28-5284     7609              2300
                                                             199,294     3,970       X      X 28-5284     3800               170
                                                               1,406        28       X        28-11135      28
AUTOMATIC DATA PROCESSING IN COM            053015103     71,568,521 1,688,335       X        28-5284  1596064             92271
                                                          34,659,632   817,637       X      X 28-5284   759605      5975   52057
                                                             153,452     3,620       X        28-11135    3620
                                                             450,267    10,622       X        28-4580    10622
                                                             222,548     5,250       X      X 28-4580     5250
AUTONATION INC               COM            05329W102         29,940     2,000       X        28-5284     2000
AUTOZONE INC                 COM            053332102         41,776       367       X        28-5284      367
                                                              45,532       400       X      X 28-5284      400
                                                              95,048       835       X        28-11135     835
   COLUMN TOTAL                                          114,209,783







                                                                                                                    FILE NO. 28-1235
PAGE  28 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
AVANEX CORP                  COM            05348W109          1,137     1,601       X      X 28-5284               1601
AVALONBAY CMNTYS INC         COM            053484101          8,590        89       X        28-5284       89
                                                              19,304       200       X      X 28-5284      200
AVATAR HLDGS INC             COM            053494100         34,872       800       X        28-5284      800
                                                           1,198,725    27,500       X      X 28-5284    27500
                                                              87,180     2,000       X        28-4580                       2000
AVERY DENNISON CORP          COM            053611109      2,806,955    56,994       X        28-5284    49587              7407
                                                           2,130,161    43,252       X      X 28-5284    42072              1180
AVID TECHNOLOGY INC          COM            05367P100         45,418     1,866       X        28-5284     1600               266
                                                              71,949     2,956       X        28-11135    2956
                                                              17,038       700       X        28-4580      700
                                                               9,736       400       X      X 28-4580      400
AVIS BUDGET GROUP            COM            053774105         64,782     6,100       X        28-5284      800              5300
                                                              10,121       953       X      X 28-5284      953
                                                                  74         7       X        28-11135       7
AVISTA CORP                  COM            05379B107          7,042       360       X        28-5284                        360
AVNET INC                    COM            053807103        413,478    12,633       X        28-5284     2348             10285
                                                              36,952     1,129       X      X 28-5284      229               900
AVOCENT CORP                 COM            053893103          1,217        72       X        28-5284       72
AVON PRODS INC               COM            054303102      2,354,923    59,558       X        28-5284    42102             17456
                                                             972,091    24,585       X      X 28-5284     5179             19406
AXA                          SPONSORED ADR  054536107        266,745     7,387       X        28-5284     7387
                                                              19,752       547       X      X 28-5284      336               211
                                                             491,385    13,608       X        28-11135   13608
AXCELIS TECHNOLOGIES INC     COM            054540109          9,246     1,651       X        28-5284     1061               590
                                                              40,908     7,305       X      X 28-5284     7305
                                                               7,325     1,308       X        28-4580     1308
AXSYS TECHNOLOGIES INC       COM            054615109         62,350     1,250       X        28-5284     1250
   COLUMN TOTAL                                           11,189,456







                                                                                                                    FILE NO. 28-1235
PAGE  29 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BB&T CORP                    COM            054937107      5,283,424   164,798       X        28-5284   148942             15856
                                                             507,350    15,825       X      X 28-5284    14392              1433
                                                               4,745       148       X        28-11135     148
                                                             315,182     9,831       X        28-4580     9831
B & G FOODS INC NEW          UNIT 99/99/999 05508R205         18,920     1,000       X      X 28-5284     1000
                                                              85,140     4,500       X        28-4580                       4500
BCE INC                      COM NEW        05534B760         72,924     2,162       X        28-5284      537              1625
                                                              25,601       759       X      X 28-5284      759
                                                               2,024        60       X        28-11135      60
                                                              50,595     1,500       X        28-11439    1500
BHP BILLITON PLC             SPONSORED ADR  05545E209         13,983       238       X        28-5284      238
                                                                 353         6       X      X 28-5284        6
BJS WHOLESALE CLUB INC       COM            05548J106        121,132     3,394       X        28-5284     1750              1644
                                                               2,855        80       X        28-11135      80
BJ SVCS CO                   COM            055482103      3,033,578   106,404       X        28-5284    97465              8939
                                                             242,763     8,515       X      X 28-5284     8467                48
                                                               2,110        74       X        28-11135      74
                                                              27,227       955       X        28-4580      955
BP PLC                       SPONSORED ADR  055622104    125,965,380 2,076,923       X        28-5284  1980424             96499
                                                         133,573,377 2,202,364       X      X 28-5284  1900521     10216  291627
                                                             391,678     6,458       X        28-11135    6458
                                                           1,944,075    32,054       X        28-4580    32054
                                                           7,444,909   122,752       X      X 28-4580    74641      1000   47111
BP PRUDHOE BAY RTY TR        UNIT BEN INT   055630107        260,969     2,795       X        28-5284     2795
                                                             128,290     1,374       X      X 28-5284     1374
BPZ RESOURCES INC            COM            055639108         11,408       525       X        28-5284      525
BRE PROPERTIES INC           CL A           05564E106         61,415     1,348       X        28-5284     1348
                                                             214,132     4,700       X      X 28-5284     4700
BRT RLTY TR                  SH BEN INT NEW 055645303         13,940       995       X        28-5284      995
BMP SUNSTONE CORP            COM            05569C105         22,980     3,000       X        28-5284     3000
   COLUMN TOTAL                                          279,842,459







                                                                                                                    FILE NO. 28-1235
PAGE  30 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BT GROUP PLC                 ADR            05577E101          7,543       175       X        28-5284      175
                                                               6,465       150       X      X 28-5284      150
                                                             374,668     8,693       X        28-11135    8693
BMC SOFTWARE INC             COM            055921100         58,601     1,802       X        28-5284     1802
                                                              11,642       358       X      X 28-5284      358
                                                             294,371     9,052       X        28-11135    9052
BAIDU COM INC                SPON ADR REP A 056752108          2,396        10       X        28-5284       10
BAKER HUGHES INC             COM            057224107      4,528,741    66,113       X        28-5284    57156              8957
                                                           3,959,163    57,798       X      X 28-5284    51858              5940
                                                             592,731     8,653       X        28-11135    8653
                                                              91,516     1,336       X        28-4580     1336
                                                             103,983     1,518       X      X 28-4580     1518
BALDOR ELEC CO               COM            057741100          9,800       350       X        28-5284                        350
                                                              14,000       500       X      X 28-5284      500
BALL CORP                    COM            058498106      2,172,962    47,300       X        28-5284    44500              2800
                                                           2,130,697    46,380       X      X 28-5284    45285              1095
                                                               4,456        97       X        28-11135      97
                                                              22,970       500       X        28-4580      500
                                                             115,769     2,520       X      X 28-4580     2520
BALLARD PWR SYS INC          COM            05858H104          4,510     1,100       X      X 28-5284     1100
BALLY TECHNOLOGIES INC       COM            05874B107          6,868       200       X        28-5284      200
BANCFIRST CORP               COM            05945F103         79,428     1,735       X        28-11135    1735
BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR  05946K101         56,558     2,572       X        28-5284     2572
                                                               1,231        56       X      X 28-5284       56
                                                              94,689     4,306       X        28-11135    4306
BANCO BRADESCO S A           SP ADR PFD NEW 059460303        138,800     5,000       X        28-5284     5000
BANCO ITAU HLDG FINANCIERA S SP ADR 500 PFD 059602201        136,560     6,000       X        28-5284     6000
BANCO SANTANDER SA           ADR            05964H105        401,512    20,136       X        28-5284    20136
                                                               5,284       265       X      X 28-5284      265
                                                             550,902    27,628       X        28-11135   27628
                                                              15,952       800       X        28-4580      800
   COLUMN TOTAL                                           15,994,768







                                                                                                                    FILE NO. 28-1235
PAGE  31 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BANCORPSOUTH INC             COM            059692103        127,380     5,500       X        28-5284     5500
BANCROFT FUND LTD            COM            059695106      1,655,568    91,976       X        28-5284    91976
BANK OF AMERICA CORPORATION  COM            060505104    188,164,427 4,963,451       X        28-5284  4671655       460  291336
                                                         176,068,105 4,644,371       X      X 28-5284  4470505     20519  153347
                                                             982,627    25,920       X        28-11135   25920
                                                           3,896,049   102,771       X        28-4580   102191               580
                                                           1,512,344    39,893       X      X 28-4580    39013       378     502
BANK FLA CORP NAPLES         COM            062128103          5,025       500       X        28-5284      500
BANK HAWAII CORP             COM            062540109         89,208     1,800       X        28-5284     1800
                                                              99,120     2,000       X      X 28-5284     2000
BANK OF NEW YORK MELLON CORP COM            064058100     32,347,469   775,161       X        28-5284   726649             48512
                                                          11,187,896   268,102       X      X 28-5284   240121     14037   13944
                                                             155,319     3,722       X        28-11135    3722
                                                             463,120    11,098       X        28-4580     9589              1509
                                                              37,015       887       X      X 28-4580      887
BANK NOVA SCOTIA HALIFAX     COM            064149107      5,113,251   113,100       X        28-5284   113100
                                                              13,563       300       X      X 28-5284      300
                                                              62,073     1,373       X        28-11135    1373
BANK SOUTH CAROLINA CORP     COM            065066102          4,125       275       X      X 28-5284      275
BANKATLANTIC BANCORP         CL A           065908501          3,910     1,000       X        28-5284     1000
BANKRATE INC                 COM            06646V108         46,647       935       X        28-5284                        935
BANKS COM INC                COM            066470105          2,342     3,660       X        28-5284     3660
BANKUNITED FINL CORP         CL A           06652B103            261        52       X        28-5284       52
BANNER CORP                  COM            06652V109         69,857     3,032       X        28-4580     3032
BANRO CORP                   COM            066800103          2,963       357       X        28-4580      357
BAR HBR BANKSHARES           COM            066849100         61,700     2,000       X      X 28-5284     2000
   COLUMN TOTAL                                          422,171,364







                                                                                                                    FILE NO. 28-1235
PAGE  32 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BARCLAYS BK PLC              DJAIG CMDTY 36 06738C778        225,584     3,674       X        28-5284     3674
                                                             552,600     9,000       X        28-4580     7000              2000
                                                           1,442,900    23,500       X      X 28-4580    23500
BARCLAYS PLC                 ADR            06738E204         31,132       860       X        28-5284      860
                                                             101,034     2,791       X      X 28-5284     2791
                                                             206,123     5,694       X        28-11135    5694
BARD C R INC                 COM            067383109     34,771,480   360,700       X        28-5284   351416              9284
                                                          17,862,727   185,298       X      X 28-5284   176713      2597    5988
                                                               2,699        28       X        28-11135      28
                                                           1,115,637    11,573       X        28-4580    11423               150
                                                             257,677     2,673       X      X 28-4580     2673
BARCLAYS BK PLC              ETN IPTH NCKL  06739F119          4,676       100       X        28-5284      100
BARCLAYS BK PLC              IP MSCI IND 36 06739F291         93,535     1,420       X        28-5284      595               825
                                                             230,545     3,500       X      X 28-5284     3500
BARCLAYS BK PLC              ADR 2 PREF 2   06739F390         47,460     2,000       X        28-5284     2000
                                                              18,984       800       X      X 28-5284      800
BARCLAYS BANK PLC            ETN IPTH AGRI  06739H206          5,781       100       X        28-5284      100
                                                              14,453       250       X      X 28-5284                        250
                                                             514,509     8,900       X      X 28-4580     8900
BARCLAYS BANK PLC            ADS7.75%PFD S4 06739H511         12,500       500       X        28-5284      500
                                                              20,000       800       X      X 28-5284      800
BARNES & NOBLE INC           COM            067774109         32,183     1,050       X        28-5284     1050
BARNES GROUP INC             COM            067806109         11,291       492       X        28-5284      152               340
                                                              75,735     3,300       X      X 28-4580     3300
BARRICK GOLD CORP            COM            067901108        358,158     8,243       X        28-5284     6743              1500
                                                           2,583,537    59,460       X      X 28-5284    59060               400
                                                              12,514       288       X        28-11135     288
                                                              21,508       495       X        28-4580      495
BARR PHARMACEUTICALS INC     COM            068306109        824,555    17,068       X        28-5284    16618               450
                                                             448,655     9,287       X      X 28-5284     8287              1000
                                                               5,073       105       X        28-11135     105
   COLUMN TOTAL                                           61,905,245







                                                                                                                    FILE NO. 28-1235
PAGE  33 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BARRY R G CORP OHIO          COM            068798107          7,920     1,000       X      X 28-5284     1000
BASIC ENERGY SVCS INC NEW    COM            06985P100          1,060        48       X        28-5284       48
BASSETT FURNITURE INDS INC   COM            070203104            864        70       X        28-5284                         70
BAXTER INTL INC              COM            071813109     35,118,018   607,368       X        28-5284   579291             28077
                                                          17,728,884   306,622       X      X 28-5284   282768      3632   20222
                                                           1,325,177    22,919       X        28-11135   22919
                                                             409,944     7,090       X        28-4580     6840               250
                                                             558,136     9,653       X      X 28-4580     9653
BAY NATL CORP                COM            072500101         28,215     3,300       X        28-5284                       3300
                                                             103,806    12,141       X      X 28-5284    12141
BAYTEX ENERGY TR             TRUST UNIT     073176109         22,160     1,000       X        28-5284     1000
                                                              45,428     2,050       X      X 28-5284     2050
BE AEROSPACE INC             COM            073302101     22,548,342   645,160       X        28-5284   645160
                                                           1,612,943    46,150       X      X 28-5284    46150
BEA SYS INC                  COM            073325102        184,223     9,620       X        28-5284     9620
                                                           1,229,239    64,190       X      X 28-5284    64190
BEACON POWER CORP            COM            073677106            490       516       X      X 28-5284      516
BEAR STEARNS COS INC         COM            073902108          6,976       665       X        28-5284      665
                                                              31,470     3,000       X      X 28-5284     3000
                                                                 325        31       X        28-11135      31
BEARINGPOINT INC             COM            074002106             45        27       X      X 28-5284       27
                                                                 215       128       X        28-11135     128
BEAZER HOMES USA INC         COM            07556Q105        106,785    11,300       X        28-11439   11300
BECKMAN COULTER INC          COM            075811109        695,591    10,776       X        28-5284     6726              4050
                                                             756,010    11,712       X      X 28-5284     8857              2855
                                                              11,232       174       X      X 28-4580      174
BECTON DICKINSON & CO        COM            075887109     14,682,410   171,024       X        28-5284   162242              8782
                                                           9,175,734   106,881       X      X 28-5284    90158      1813   14910
                                                             122,851     1,431       X        28-11135    1431
                                                              87,395     1,018       X        28-4580     1018
   COLUMN TOTAL                                          106,601,888







                                                                                                                    FILE NO. 28-1235
PAGE  34 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BED BATH & BEYOND INC        COM            075896100      1,413,463    47,914       X        28-5284    39644       470    7800
                                                           1,385,291    46,959       X      X 28-5284    41814       250    4895
                                                               1,564        53       X        28-11135      53
                                                               7,965       270       X        28-4580      270
                                                              92,925     3,150       X      X 28-4580     3150
BEL FUSE INC                 CL B           077347300          2,786       100       X        28-5284                        100
BELDEN INC                   COM            077454106          4,521       128       X        28-5284      128
                                                                 777        22       X      X 28-5284       22
BELL INDS INC                COM            078107109            416       540       X        28-5284      540
BELL MICROPRODUCTS INC       COM            078137106            388       190       X        28-5284                        190
BELO CORP                    COM SER A      080555105          8,456       800       X        28-5284      800
BEMIS INC                    COM            081437105        734,647    28,889       X        28-5284    28889
                                                             830,900    32,674       X      X 28-5284     4634             28040
                                                               4,298       169       X        28-11135     169
BENCHMARK ELECTRS INC        COM            08160H101          9,514       530       X        28-5284                        530
                                                               7,629       425       X      X 28-5284      425
                                                              83,988     4,679       X        28-11135    4679
BENEFICIAL MUTUAL BANCORP IN COM            08173R104      1,934,395   195,591       X        28-5284   195591
BERKLEY W R CORP             COM            084423102         38,960     1,407       X        28-5284     1407
                                                               8,362       302       X      X 28-5284      302
                                                               1,828        66       X        28-11135      66
                                                           2,572,041    92,887       X        28-4580    92887
BERKSHIRE HATHAWAY INC DEL   CL A           084670108              0       158       X        28-5284      145                13
                                                                   0     2,757       X      X 28-5284     1919       288     550
                                                                   0        10       X      X 28-4580       10
BERKSHIRE HATHAWAY INC DEL   CL B           084670207     76,602,885    17,126       X        28-5284    15991              1135
                                                          52,046,664    11,636       X      X 28-5284    10045        45    1546
                                                              13,419         3       X        28-11135       3
                                                             670,935       150       X        28-4580      150
                                                             568,058       127       X      X 28-4580      100                27
   COLUMN TOTAL                                          139,047,075







                                                                                                                    FILE NO. 28-1235
PAGE  35 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BERRY PETE CO                CL A           085789105         53,464     1,150       X      X 28-5284                       1150
                                                              75,221     1,618       X        28-11135    1618
BEST BUY INC                 SDCV 2.250%    086516AF8      2,676,000     2,500       X        28-11439    2500
BEST BUY INC                 COM            086516101     10,878,068   262,375       X        28-5284   237308      1305   23762
                                                           3,813,491    91,980       X      X 28-5284    86100       150    5730
                                                             393,580     9,493       X        28-11135    9493
                                                             108,998     2,629       X        28-4580     2629
                                                              25,498       615       X      X 28-4580      615
BEVERLY NATL CORP            COM            088115100        428,436    21,859       X      X 28-5284    21859
BHP BILLITON LTD             SPONSORED ADR  088606108        493,085     7,488       X        28-5284     6988               500
                                                           1,145,790    17,400       X      X 28-5284    14800              2600
                                                              62,821       954       X        28-11135     954
                                                             177,795     2,700       X        28-4580     2700
                                                               1,580        24       X      X 28-4580       24
BIDZ COM INC                 COM            08883T200         33,600     4,000       X        28-5284                       4000
BIG LOTS INC                 COM            089302103         53,052     2,379       X        28-5284                       2379
BIO RAD LABS INC             CL A           090572207        266,850     3,000       X      X 28-5284     3000
BIOMARIN PHARMACEUTICAL INC  COM            09061G101        106,110     3,000       X        28-5284     3000
BIOGEN IDEC INC              COM            09062X103        668,288    10,833       X        28-5284     5693              5140
                                                             159,900     2,592       X      X 28-5284     2202               390
                                                               7,094       115       X        28-11135     115
BIOMED REALTY TRUST INC      COM            09063H107          4,778       200       X        28-5284      200
BIOTECH HOLDRS TR            DEPOSTRY RCPTS 09067D201        104,130       600       X        28-5284      600
                                                             329,745     1,900       X      X 28-5284      900              1000
BIOVAIL CORP                 COM            09067J109        106,500    10,000       X      X 28-5284    10000
BLACK & DECKER CORP          COM            091797100      2,067,410    31,277       X        28-5284    25794              5483
                                                           1,333,105    20,168       X      X 28-5284    17593              2575
                                                              69,075     1,045       X        28-4580     1045
                                                              23,135       350       X      X 28-4580      350
   COLUMN TOTAL                                           25,666,599







                                                                                                                    FILE NO. 28-1235
PAGE  36 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                    ITEM 6:
                                                                                  INVESTMENT                     ITEM 8:
                                                                       ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL -------------- -------- -------------------------
        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          4,628        150       X        28-5284                        150
                                                              18,510        600       X      X 28-5284                        600
                                                                 463         15       X        28-11135      15
BLACKROCK GLOBAL FLG INC TR  COM            091941104         59,491      4,100       X      X 28-5284     4100
BLACK HILLS CORP             COM            092113109         64,404      1,800       X      X 28-5284     1800
BLACKROCK FLA INVT QUALITY M COM            09247B109        200,072     18,389       X      X 28-5284    18389
BLACKROCK INVT QUALITY MUN T COM            09247D105        229,792     14,398       X        28-5284    14398
BLACKROCK NY INVT QUALITY MU COM            09247E103        179,126     12,686       X        28-5284    12686
                                                              21,180      1,500       X      X 28-5284     1500
BLACKROCK INCOME TR INC      COM            09247F100          2,725        469       X        28-5284      469
                                                              76,111     13,100       X      X 28-5284                      13100
BLACKROCK CA INSD MUN 2008 T COM            09247G108        816,521     53,967       X        28-5284    53967
BLACKROCK FL INSD MUN 2008 T COM            09247H106         59,270      4,043       X        28-5284     4043
BLACKROCK INSD MUN 2008 TRM  COM            09247K109         90,104      5,983       X        28-5284     5825               158
                                                             187,557     12,454       X      X 28-5284      454             12000
                                                               1,702        113       X      X 28-4580      113
BLACKROCK INC                COM            09247X101     48,946,438    239,722       X        28-5284   239722
                                                           1,481,122      7,254       X      X 28-5284     6250              1004
                                                       8,804,520,510 43,121,366       X        28-4750 43121366
BLACKROCK INSD MUN TERM TR I COM            092474105         16,080      1,600       X        28-5284     1600
                                                             180,900     18,000       X      X 28-5284                      18000
BLACKROCK INCOME OPP TRUST I COM            092475102         14,625      1,500       X        28-5284     1500
                                                              78,000      8,000       X      X 28-5284                       8000
BLACKROCK INSD MUN INCOME TR COM            092479104         97,089      7,333       X        28-5284     7333
BLACKROCK MUN INCOME TR      SH BEN INT     09248F109        208,266     14,473       X        28-5284     9973              4500
                                                              47,487      3,300       X      X 28-5284     3300
BLACKROCK N J MUN INCOME TR  SH BEN INT     09248J101         27,523      1,700       X        28-5284     1700
                                                             226,498     13,990       X      X 28-5284    13990
   COLUMN TOTAL                                        8,857,856,194







                                                                                                                    FILE NO. 28-1235
PAGE  37 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BLACKROCK N Y MUN INCOME TR  SH BEN INT     09248L106          1,570       100       X        28-5284      100
BLACKROCK HIGH YIELD TR      SH BEN INT     09248N102         21,067     3,448       X        28-5284     3448
BLACKROCK PA STRATEGIC MUN T COM            09248R103        181,745    13,665       X        28-5284    13665
                                                             329,574    24,780       X      X 28-5284    24780
BLACKROCK STRATEGIC MUN TR   COM            09248T109          1,416       100       X        28-5284      100
                                                             138,060     9,750       X      X 28-5284     9750
BLACKROCK NJ MUNICIPAL BOND  COM            09249A109         55,759     3,572       X      X 28-5284     3572
BLACKROCK CA MUNI 2018 TERM  COM            09249C105         48,320     3,200       X        28-5284     3200
BLACKROCK CORE BD TR         SHS BEN INT    09249E101        110,071     9,336       X        28-5284     9336
                                                             175,671    14,900       X      X 28-5284                      14900
BLACKROCK FL MUNICIPAL BOND  COM            09249K107         20,462     1,333       X        28-5284     1333
BLACKROCK MUNI INCOME TR II  COM            09249N101         52,244     3,700       X      X 28-5284     3700
BLACKROCK NY INS MUN INC TR  COM            09249U105          9,903       733       X        28-5284      733
BLACKROCK PFD OPPORTUNITY TR COM SHS        09249V103         34,587     2,100       X        28-5284     2100
                                                              44,848     2,723       X      X 28-5284     2723
BLACKROCK LTD DURATION INC T COM SHS        09249W101         51,800     3,500       X        28-5284     3500
                                                              14,800     1,000       X      X 28-5284     1000
BLACKROCK STRAT DIVD ACHIEVE COM            09249Y107          3,581       313       X        28-5284      313
                                                              12,332     1,078       X      X 28-5284     1078
BLACKROCK LONG-TERM MUNI ADV COM            09250B103         22,580     2,000       X        28-5284     2000
BLACKROCK HIGH INCOME SHS    SHS BEN INT    09250E107         22,089    11,100       X      X 28-5284                      11100
BLACKROCK WORLD INVT TR      COM SHS BN INT 09250K103         36,531     2,465       X        28-5284     2465
                                                              30,070     2,029       X      X 28-5284     2029
BLACKROCK DIVID ACHIEVRS TM  COM            09250N107         80,484     7,060       X        28-5284     7060
                                                              22,264     1,953       X      X 28-5284     1953
BLACKROCK GLBL ENRGY & RES T COM            09250U101        137,830     4,602       X        28-5284     4602
   COLUMN TOTAL                                            1,659,658







                                                                                                                    FILE NO. 28-1235
PAGE  38 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BLACKROCK PFD & EQ ADVANTAGE COM            092508100         20,624     1,307       X        28-5284     1307
BLACKROCK ENHANCED DIV ACHV  COM            09251A104         61,973     5,639       X        28-5284     5639
                                                              76,381     6,950       X      X 28-5284     6950
BLACKSTONE GROUP L P         COM UNIT LTD   09253U108        433,921    27,325       X        28-5284    27325
                                                           1,523,289    95,925       X      X 28-5284    95400               525
BLACKROCK MUNIYIELD FD INC   COM            09253W104        231,723    17,267       X      X 28-5284    17267
BLACKROCK REAL ASSET EQUITY  COM            09254B109          2,435       150       X        28-5284      150
BLACKROCK MUNYIELD INSD FD I COM            09254E103         26,061     2,100       X        28-5284     2100
                                                              51,700     4,166       X      X 28-5284     4166
BLACKROCK MUNIYIELD QUALITY  COM            09254F100         28,180     2,166       X      X 28-5284     2166
BLACKROCK MUNIYIELD ARIZ FD  COM            09254K109         57,168     4,364       X      X 28-5284     4364
BLACKROCK MUNIYIELD CALIF IN COM            09254N103         28,802     2,259       X        28-5284     2259
BLACKROCK MUNIHOLDINGS FLA I COM            09254P108        113,071     9,337       X      X 28-5284     9337
BLACKROCK MUNIHOLDINGS N J I COM            09254X101        305,648    22,895       X        28-5284    22895
BLACKROCK MUNIYIELD N J FD I COM            09254Y109        447,810    33,000       X        28-5284    33000
BLACKROCK MUNIHOLDINGS N Y I COM            09255C106            153        12       X        28-5284       12
BLACKROCK GBL EQTY INCOME TR COM            09255D104         72,831     4,888       X        28-5284     4888
BLACKROCK MUNIYIELD PA INSD  COM            09255G107         59,076     4,520       X        28-5284     4520
                                                             194,874    14,910       X      X 28-5284    14910
BLACKROCK PFD INCOME STRATEG COM            09255H105          1,519       100       X        28-5284      100
                                                              30,380     2,000       X      X 28-5284     2000
BLACKROCK PFD & CORPORATE IN COM            09255J101         59,440     4,000       X      X 28-5284     4000
BLACKROCK ENHANCED GOVT FD I COM            09255K108         14,614       890       X        28-5284      890
BLACKROCK CORPOR HIGH YLD FD COM            09255L106          6,500     1,000       X      X 28-5284                       1000
   COLUMN TOTAL                                            3,848,173







                                                                                                                    FILE NO. 28-1235
PAGE  39 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         91,490     8,440       X        28-5284     8440
BLACKROCK DEBT STRAT FD INC  COM            09255R103        106,152    20,181       X        28-5284    20181
                                                               1,057       201       X      X 28-5284      201
BLACKROCK SR HIGH INCOME FD  COM            09255T109         24,335     5,000       X        28-5284     5000
BLACKROCK FLOAT RATE OME STR COM            09255X100         86,160     6,000       X        28-5284     6000
                                                              22,258     1,550       X      X 28-5284               1550
BLACKROCK FL RATE OME STRA I COM SHS        09255Y108        213,456    14,875       X      X 28-5284     1775     13100
BLDRS INDEX FDS TR           EMER MK 50 ADR 09348R300         77,824     1,600       X      X 28-5284     1600
BLOCK H & R INC              COM            093671105        854,046    41,139       X        28-5284    40539               600
                                                             518,813    24,991       X      X 28-5284    24991
                                                             128,816     6,205       X        28-4580     6205
BLOCKBUSTER INC              CL A           093679108          1,930       592       X        28-5284      592
BLOCKBUSTER INC              CL B           093679207          1,687       592       X        28-5284      592
BLUE NILE INC                COM            09578R103            217         4       X        28-11135       4
BOARDWALK PIPELINE PARTNERS  UT LTD PARTNER 096627104          7,383       300       X        28-5284      300
                                                              14,766       600       X      X 28-5284      600
BOB EVANS FARMS INC          COM            096761101         14,485       525       X        28-5284      525
BOEING CO                    COM            097023105     10,731,219   144,295       X        28-5284   127129             17166
                                                          21,317,640   286,643       X      X 28-5284   277321       150    9172
                                                             202,956     2,729       X        28-11135    2729
                                                             359,876     4,839       X        28-4580     4839
                                                              92,963     1,250       X      X 28-4580     1250
BOLT TECHNOLOGY CORP         COM            097698104          1,382        75       X        28-5284       75
BORDERS GROUP INC            COM            099709107         10,566     1,800       X        28-5284                       1800
                                                               1,761       300       X      X 28-5284      300
                                                              83,436    14,214       X        28-11135   14214
   COLUMN TOTAL                                           34,966,674







                                                                                                                    FILE NO. 28-1235
PAGE  40 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BORGWARNER INC               COM            099724106         73,926     1,718       X        28-5284      318              1400
                                                              63,770     1,482       X      X 28-5284      658               824
                                                               9,294       216       X        28-11135     216
BOSTON PRIVATE FINL HLDGS IN COM            101119105          3,071       290       X        28-5284                        290
                                                              25,946     2,450       X      X 28-5284     2450
BOSTON PROPERTIES INC        COM            101121101      6,541,850    71,053       X        28-5284    70361               692
                                                           5,378,269    58,415       X      X 28-5284    56905              1510
                                                               9,207       100       X        28-4580      100
BOSTON SCIENTIFIC CORP       COM            101137107     10,440,144   811,200       X        28-5284   680984            130216
                                                           2,962,185   230,162       X      X 28-5284   206176             23986
                                                             112,239     8,721       X        28-11135    8721
                                                              15,187     1,180       X        28-4580     1180
BOWNE & CO INC               COM            103043105          2,898       190       X        28-5284                        190
BOYD GAMING CORP             COM            103304101         38,000     1,900       X        28-5284     1900
                                                              54,040     2,702       X      X 28-5284     2702
BRADY CORP                   CL A           104674106        289,838     8,670       X        28-5284     8260               410
                                                              93,604     2,800       X      X 28-5284                       2800
BRANDYWINE OPER PARTNERSHIP  NOTE 3.875%    105340AH6      1,700,308     2,000       X        28-11439    2000
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203         16,960     1,000       X        28-5284     1000
                                                             211,949    12,497       X      X 28-5284    12497
BRASIL TELECOM PARTICIPACOES SPON ADR PFD   105530109         58,914       900       X      X 28-5284      900
BREITBURN ENERGY PARTNERS LP COM UT LTD PTN 106776107         20,080     1,000       X      X 28-5284                       1000
BRIGGS & STRATTON CORP       COM            109043109         39,470     2,205       X        28-5284     1835               370
                                                             767,910    42,900       X      X 28-5284    42900
                                                             223,285    12,474       X        28-11135   12474
                                                               2,023       113       X      X 28-4580      113
BRIGHT HORIZON FAMILY SOLUTI COM            109195107         45,192     1,050       X        28-5284     1050
                                                              47,344     1,100       X      X 28-5284     1100
                                                              63,613     1,478       X        28-11135    1478
BRIGHTPOINT INC              COM NEW        109473405            686        82       X      X 28-5284                         82
   COLUMN TOTAL                                           29,311,202







                                                                                                                    FILE NO. 28-1235
PAGE  41 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BRINKER INTL INC             COM            109641100      2,497,238   134,622       X        28-5284   124032             10590
                                                             266,656    14,375       X      X 28-5284    14315                60
BRISTOL MYERS SQUIBB CO      COM            110122108     44,026,525 2,066,973       X        28-5284  1992296             74677
                                                          60,064,573 2,819,933       X      X 28-5284  2606222      6320  207391
                                                             939,735    44,119       X        28-11135   44119
                                                           1,393,467    65,421       X        28-4580    62221              3200
                                                           1,614,860    75,815       X      X 28-4580    74304      1511
BRISTOL MYERS SQUIBB CO      PFD CV $2      110122207          3,000         8       X      X 28-5284        8
BRISTOW GROUP INC            COM            110394103         16,101       300       X      X 28-5284      300
                                                               3,328        62       X        28-11135      62
BRITISH AMERN TOB PLC        SPONSORED ADR  110448107         51,056       674       X        28-5284      674
                                                             113,398     1,497       X      X 28-5284      251              1246
                                                              13,635       180       X        28-4580      180
BRITISH SKY BROADCASTING GRO SPONSORED ADR  111013108        101,270     2,286       X        28-5284     2286
BROADCOM CORP                CL A           111320107      1,598,331    82,944       X        28-5284    71694             11250
                                                              55,209     2,865       X      X 28-5284     2865
                                                                 520        27       X        28-11135      27
BROADRIDGE FINL SOLUTIONS IN COM            11133T103      1,058,429    60,138       X        28-5284    50545              9593
                                                           1,548,818    88,001       X      X 28-5284    81589       475    5937
                                                               1,109        63       X        28-11135      63
                                                               9,680       550       X        28-4580      550
                                                              14,291       812       X      X 28-4580      812
BROCADE COMMUNICATIONS SYS I COM NEW        111621306          5,117       701       X        28-5284      701
BRONCO DRILLING CO INC       COM            112211107          8,055       500       X        28-5284      500
                                                              64,440     4,000       X      X 28-5284     4000
BROOKDALE SR LIVING INC      COM            112463104        246,170    10,300       X        28-5284                      10300
BROOKE CORP                  COM            112502109            548       169       X        28-5284      169
BROOKFIELD ASSET MGMT INC    CL A LTD VT SH 112585104        280,937    10,471       X        28-5284    10471
                                                           2,910,035   108,462       X      X 28-5284   102837              5625
                                                              46,953     1,750       X        28-4580                       1750
                                                              91,732     3,419       X      X 28-4580     3419
   COLUMN TOTAL                                          119,045,216







                                                                                                                    FILE NO. 28-1235
PAGE  42 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BROOKFIELD PPTYS CORP        COM            112900105        346,132    17,925       X        28-5284    17925
                                                              54,261     2,810       X      X 28-5284     1060              1750
BROOKS AUTOMATION INC        COM            114340102          2,265       233       X      X 28-5284      233
BROWN & BROWN INC            COM            115236101        122,529     7,050       X        28-5284     2850              4200
BROWN FORMAN CORP            CL A           115637100     11,836,440   170,948       X        28-5284   141426             29522
                                                              44,868       648       X      X 28-5284      648
                                                           2,684,019    38,764       X        28-4580    38764
BROWN FORMAN CORP            CL B           115637209     11,923,375   180,057       X        28-5284   176107              3950
                                                          18,931,967   285,895       X      X 28-5284   281295              4600
                                                              21,124       319       X        28-11135     319
BROWN SHOE INC NEW           COM            115736100          5,003       332       X        28-5284                        332
                                                               2,261       150       X      X 28-5284      150
                                                              46,943     3,115       X        28-11135    3115
BRUKER CORP                  COM            116794108        884,925    57,500       X      X 28-5284    57500
                                                              54,327     3,530       X        28-11135    3530
BRUNSWICK CORP               COM            117043109         81,048     5,075       X        28-5284     1075              4000
                                                              10,381       650       X      X 28-5284      650
                                                               1,038        65       X        28-4580       65
BRUSH ENGINEERED MATLS INC   COM            117421107          4,107       160       X        28-5284                        160
                                                              70,593     2,750       X      X 28-5284     2750
BRYN MAWR BK CORP            COM            117665109        156,816     7,200       X        28-5284     7200
                                                             274,428    12,600       X      X 28-5284     7500              5100
BUCKEYE PARTNERS L P         UNIT LTD PARTN 118230101      1,465,980    31,800       X        28-5284    31800
                                                             463,305    10,050       X      X 28-5284     9750       300
BUCKEYE TECHNOLOGIES INC     COM            118255108          5,134       460       X        28-5284      200               260
                                                               3,482       312       X        28-4580      312
BUCYRUS INTL INC NEW         CL A           118759109         35,069       345       X        28-5284      245               100
                                                           1,154,744    11,360       X      X 28-5284    11360
BUILD A BEAR WORKSHOP        COM            120076104            500        55       X        28-5284       55
   COLUMN TOTAL                                           50,687,064







                                                                                                                    FILE NO. 28-1235
PAGE  43 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
BUILDING MATLS HLDG CORP     COM            120113105            832       190       X        28-5284                        190
                                                               1,752       400       X      X 28-5284      400
BURGER KING HLDGS INC        COM            121208201          4,094       148       X        28-5284      148
                                                               1,438        52       X      X 28-5284       52
                                                               1,964        71       X      X 28-4580       71
BURLINGTON NORTHN SANTA FE C COM            12189T104      5,857,722    63,519       X        28-5284    62721               798
                                                          15,321,984   166,146       X      X 28-5284   162156       165    3825
                                                             155,206     1,683       X        28-11135    1683
                                                              51,643       560       X        28-4580      560
                                                             694,232     7,528       X      X 28-4580     7528
C & F FINL CORP              COM            12466Q104      1,172,393    42,478       X        28-1500    42478
C&D TECHNOLOGIES INC         COM            124661109            803       160       X        28-5284                        160
CAE INC                      COM            124765108         33,930     3,000       X      X 28-5284                       3000
CBL & ASSOC PPTYS INC        COM            124830100      1,402,506    59,605       X        28-5284    56025              3580
                                                             299,772    12,740       X      X 28-5284    12720                20
CBS CORP NEW                 CL A           124857103         16,509       747       X        28-5284      370               377
                                                             336,185    15,212       X      X 28-5284    15137                75
CBS CORP NEW                 CL B           124857202        984,569    44,591       X        28-5284    36581              8010
                                                           2,128,954    96,420       X      X 28-5284    94437              1983
                                                              93,465     4,233       X        28-11135    4233
                                                              56,304     2,550       X        28-4580       50              2500
                                                              24,288     1,100       X      X 28-4580     1100
CBRL GROUP INC               COM            12489V106         46,501     1,300       X        28-5284     1300
                                                              75,975     2,124       X        28-11135    2124
CB RICHARD ELLIS GROUP INC   CL A           12497T101         22,181     1,025       X        28-5284       25              1000
                                                              30,642     1,416       X      X 28-5284     1416
CBRE REALTY FINANCE INC      COM            12498B307          1,080       268       X        28-5284      268
C D I CORP                   COM            125071100          2,756       110       X        28-5284                        110
CEC ENTMT INC                COM            125137109         19,638       680       X        28-5284      450               230
   COLUMN TOTAL                                           28,839,318







                                                                                                                    FILE NO. 28-1235
PAGE  44 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         18,134       175       X        28-5284      175
                                                              35,231       340       X      X 28-5284      240               100
CH ENERGY GROUP INC          COM            12541M102         18,283       470       X        28-5284      350               120
                                                              19,450       500       X      X 28-4580      500
C H ROBINSON WORLDWIDE INC   COM NEW        12541W209         37,590       691       X        28-5284      691
                                                              21,760       400       X      X 28-5284      400
                                                             155,638     2,861       X        28-11135    2861
CIGNA CORP                   COM            125509109      6,441,177   158,767       X        28-5284   158287               480
                                                          15,781,933   389,005       X      X 28-5284   343604             45401
                                                             241,797     5,960       X        28-11135    5960
                                                             112,582     2,775       X      X 28-4580     2775
CIT GROUP INC                COM            125581108         79,999     6,751       X        28-5284     1151              5600
                                                                  83         7       X      X 28-5284        7
                                                                 818        69       X        28-11135      69
                                                               4,088       345       X        28-4580      345
CLECO CORP NEW               COM            12561W105         25,618     1,155       X        28-5284     1155
                                                              50,615     2,282       X      X 28-5284     1882               400
CME GROUP INC                COM            12572Q105      1,848,723     3,941       X        28-5284     3389               552
                                                             178,727       381       X      X 28-5284      351                30
                                                              28,146        60       X        28-11135      60
CMGI INC                     COM NEW        125750307            199        15       X        28-5284       15
                                                             523,770    39,500       X      X 28-5284              39500
CMS ENERGY CORP              COM            125896100        129,050     9,531       X        28-5284      210              9321
                                                                  68         5       X      X 28-5284        5
CPI CORP                     COM            125902106            864        50       X        28-5284                         50
CSK AUTO CORP                COM            125965103         34,168     3,670       X        28-5284     3670
CNA FINL CORP                COM            126117100          1,315        51       X        28-5284       51
CNB FINL CORP PA             COM            126128107         53,250     3,750       X      X 28-5284     3750
CNOOC LTD                    SPONSORED ADR  126132109         70,019       477       X        28-5284      477
                                                             136,515       930       X      X 28-5284      930
   COLUMN TOTAL                                           26,049,610







                                                                                                                    FILE NO. 28-1235
PAGE  45 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CPFL ENERGIA S A             SPONSORED ADR  126153105          9,147       150       X      X 28-5284      150
                                                               6,098       100       X      X 28-4580      100
CRA INTL INC                 COM            12618T105         16,552       515       X      X 28-5284      515
CRH PLC                      ADR            12626K203          7,095       185       X      X 28-5284      185
                                                             514,197    13,408       X        28-11135   13408
                                                              10,546       275       X        28-4580      275
CSX CORP                     COM            126408103      4,895,191    87,305       X        28-5284    83951              3354
                                                           4,269,506    76,146       X      X 28-5284    69746              6400
                                                             358,960     6,402       X        28-11135    6402
                                                             232,410     4,145       X        28-4580     4145
CTS CORP                     COM            126501105          8,111       758       X        28-5284      528               230
                                                              67,752     6,332       X        28-11135    6332
CVS CAREMARK CORPORATION     COM            126650100     45,436,988 1,121,624       X        28-5284  1073391       551   47682
                                                           9,575,875   236,383       X      X 28-5284   211410      3729   21244
                                                             367,223     9,065       X        28-11135    9065
                                                             133,967     3,307       X        28-4580     3307
CV THERAPEUTICS INC          COM            126667104            107        15       X        28-11135      15
CA INC                       COM            12673P105        349,313    15,525       X        28-5284    15514                11
                                                              79,875     3,550       X      X 28-5284     3550
CABELAS INC                  COM            126804301          2,124       150       X        28-5284                        150
                                                             510,850    36,077       X        28-11135   36077
CABLEVISION SYS CORP         CL A NY CABLVS 12686C109            621        29       X        28-5284       29
                                                              76,291     3,560       X      X 28-5284       60              3500
                                                                 343        16       X        28-11135      16
CABOT CORP                   COM            127055101        280,000    10,000       X      X 28-5284    10000
                                                              11,200       400       X      X 28-4580      400
CABOT MICROELECTRONICS CORP  COM            12709P103         72,338     2,250       X      X 28-5284     2250
                                                              43,820     1,363       X        28-11135    1363
CABOT OIL & GAS CORP         COM            127097103         52,619     1,035       X        28-5284      315               720
                                                               6,457       127       X      X 28-5284      127
   COLUMN TOTAL                                           67,395,576







                                                                                                                    FILE NO. 28-1235
PAGE  46 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         16,626       365       X        28-5284      135               230
CADBURY SCHWEPPES PLC        ADR            127209302        241,662     5,465       X        28-5284     5465
                                                             126,469     2,860       X      X 28-5284     2860
                                                              28,920       654       X        28-11135     654
                                                               4,864       110       X        28-4580      110
                                                             393,558     8,900       X      X 28-4580     8900
CADENCE FINL CORP            COM            12738A101         48,690     3,000       X      X 28-5284     3000
CADENCE DESIGN SYSTEM INC    COM            127387108            961        90       X        28-5284       90
                                                                 534        50       X      X 28-5284       50
CAL DIVE INTL INC DEL        COM            12802T101          1,443       139       X        28-5284      139
                                                             665,784    64,141       X      X 28-5284              64141
CAL MAINE FOODS INC          COM NEW        128030202         10,014       300       X        28-5284      300
CALAMOS CONV & HIGH INCOME F COM SHS        12811P108        177,506    14,021       X        28-5284    14021
                                                             262,581    20,741       X      X 28-5284    20741
CALAMOS ASSET MGMT INC       CL A           12811R104          2,035       125       X        28-5284      125
CALAMOS STRATEGIC TOTL RETN  COM SH BEN INT 128125101         94,458     7,800       X        28-5284     7800
CALGON CARBON CORP           COM            129603106      1,505,000   100,000       X        28-5284   100000
CALIFORNIA COASTAL CMNTYS IN COM NEW        129915203      1,122,851   231,994       X      X 28-5284             231994
CALIFORNIA WTR SVC GROUP     COM            130788102         24,798       650       X        28-5284      650
                                                             139,248     3,650       X      X 28-5284     3650
                                                               4,387       115       X        28-11135     115
CALIPER LIFE SCIENCES INC    COM            130872104          2,981       795       X      X 28-5284                795
CALLAWAY GOLF CO             COM            131193104          1,468       100       X        28-5284      100
                                                             359,777    24,508       X        28-11135   24508
CALLWAVE INC DEL             COM            13126N101        606,478   232,367       X      X 28-5284             232367
CALPINE CORP                 COM NEW        131347304          8,289       450       X        28-5284      450
CAMDEN NATL CORP             COM            133034108        213,950     6,360       X      X 28-5284      500              5860
   COLUMN TOTAL                                            6,065,332







                                                                                                                    FILE NO. 28-1235
PAGE  47 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CAMDEN PPTY TR               SH BEN INT     133131102      1,180,553    23,517       X        28-5284    23517
                                                             577,400    11,502       X      X 28-5284    11502
CAMECO CORP                  COM            13321L108         90,585     2,750       X        28-5284     2750
                                                             673,623    20,450       X      X 28-5284    20450
                                                              77,837     2,363       X        28-11135    2363
                                                               3,623       110       X        28-4580      110
                                                                 922        28       X      X 28-4580       28
CAMERON INTERNATIONAL CORP   COM            13342B105        103,017     2,474       X        28-5284     2474
                                                             100,352     2,410       X      X 28-5284      560              1850
                                                               3,248        78       X        28-4580       78
CAMPBELL SOUP CO             COM            134429109      2,860,899    84,268       X        28-5284    83438               830
                                                         220,977,087 6,508,898       X      X 28-5284   100305   1248980 5159613
                                                              17,111       504       X        28-4580      504
                                                              50,925     1,500       X      X 28-4580     1500
CANADIAN NATL RY CO          COM            136375102        475,227     9,835       X        28-5284     8385              1450
                                                           2,754,240    57,000       X      X 28-5284    22250             34750
CANADIAN NAT RES LTD         COM            136385101         43,345       635       X        28-5284      635
                                                           1,759,879    25,782       X      X 28-5284    19730              6052
                                                             273,450     4,006       X        28-11135    4006
                                                               7,509       110       X        28-4580      110
                                                             102,390     1,500       X      X 28-4580     1500
CANADIAN PAC RY LTD          COM            13645T100        253,946     3,950       X      X 28-5284      400              3550
CANADIAN SOLAR INC           COM            136635109         60,610     2,900       X        28-11439    2900
CANDELA CORP                 COM            136907102         11,798     3,470       X        28-11135    3470
CANO PETE INC                COM            137801106            936       200       X      X 28-5284      200
CANON INC                    ADR            138006309        384,871     8,300       X        28-5284     8300
                                                             171,801     3,705       X      X 28-5284       30              3675
                                                             452,478     9,758       X        28-11135    9758
                                                              19,846       428       X        28-4580      428
                                                               4,776       103       X      X 28-4580                        103
CANYON RESOURCES CORP        COM NEW        138869300        570,856 1,359,180       X      X 28-5284            1359180
   COLUMN TOTAL                                          234,065,140







                                                                                                                    FILE NO. 28-1235
PAGE  48 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CAPE FEAR BK CORP            COM            139380109        206,710    20,671       X      X 28-5284    20671
CAPELLA EDUCATION COMPANY    COM            139594105          5,460       100       X      X 28-5284      100
CAPLEASE INC                 COM            140288101        466,200    60,000       X      X 28-5284    60000
                                                              58,275     7,500       X        28-4580                       7500
CAPITAL ONE FINL CORP        COM            14040H105     22,551,324   458,174       X        28-5284   390033             68141
                                                           4,898,621    99,525       X      X 28-5284    82883             16642
                                                              16,095       327       X        28-11135     327
CAPITAL TRUST INC MD         CL A NEW       14052H506        189,998     7,050       X      X 28-5284     7050
CAPITALSOURCE INC            COM            14055X102          3,191       330       X        28-5284      330
                                                             191,853    19,840       X      X 28-5284     3900             15940
CAPSTONE TURBINE CORP        COM            14067D102         21,200    10,000       X        28-5284    10000
                                                               3,519     1,660       X      X 28-5284     1660
CARBO CERAMICS INC           COM            140781105          6,216       155       X        28-5284                        155
CARAUSTAR INDS INC           COM            140909102            230       170       X        28-5284                        170
CARDICA INC                  COM            14141R101          7,390     1,000       X        28-5284     1000
CARDINAL HEALTH INC          COM            14149Y108      7,591,476   144,572       X        28-5284   138260              6312
                                                           5,034,029    95,868       X      X 28-5284    87747              8121
                                                              19,534       372       X        28-4580      372
                                                              27,725       528       X      X 28-4580      528
CARDIOME PHARMA CORP         COM NEW        14159U202          1,680       200       X      X 28-5284      200
                                                             333,925    39,753       X        28-11135   39753
CARDIUM THERAPEUTICS INC     COM            141916106        481,500   214,000       X      X 28-5284   162000             52000
CARLISLE COS INC             COM            142339100        482,539    14,430       X        28-5284    13400              1030
                                                             367,773    10,998       X      X 28-5284     4998              6000
                                                              77,280     2,311       X        28-11135    2311
CARMAX INC                   COM            143130102         77,913     4,012       X        28-5284     4012
                                                             872,793    44,943       X      X 28-5284    15386             29557
   COLUMN TOTAL                                           43,994,449







                                                                                                                    FILE NO. 28-1235
PAGE  49 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          6,129       152       X        28-11135     152
CARNIVAL CORP                DBCV 1.132%    143658AV4      6,271,250     9,592       X        28-11439    9592
CARNIVAL CORP                PAIRED CTF     143658300      2,938,200    72,584       X        28-5284    46999             25585
                                                           2,075,774    51,279       X      X 28-5284    38457             12822
                                                              20,240       500       X        28-4580      500
                                                              55,215     1,364       X      X 28-4580     1364
CARPENTER TECHNOLOGY CORP    COM            144285103      8,459,306   151,140       X        28-5284    71800             79340
                                                           1,118,728    19,988       X      X 28-5284     5188             14800
                                                              75,224     1,344       X        28-11135    1344
CARTER INC                   COM            146229109          4,764       295       X      X 28-5284      295
CASEYS GEN STORES INC        COM            147528103          8,362       370       X        28-5284                        370
                                                              92,457     4,091       X        28-11135    4091
CASH AMER INTL INC           COM            14754D100          9,646       265       X        28-5284       35               230
                                                              47,320     1,300       X        28-11135    1300
CASTLE A M & CO              COM            148411101          3,240       120       X        28-5284                        120
CATAPULT COMMUNICATIONS CORP COM            149016107            309        60       X        28-5284                         60
CATERPILLAR INC DEL          COM            149123101     19,018,363   242,922       X        28-5284   185229             57693
                                                          18,058,763   230,665       X      X 28-5284   202750       200   27715
                                                             255,852     3,268       X        28-4580     3268
                                                             604,869     7,726       X      X 28-4580     7726
CATHAY GENERAL BANCORP       COM            149150104         12,438       600       X        28-5284      600
                                                             140,964     6,800       X      X 28-5284     6800
                                                              41,336     1,994       X        28-11135    1994
CATO CORP NEW                CL A           149205106          3,511       235       X        28-5284                        235
CEDAR FAIR L P               DEPOSITRY UNIT 150185106      2,560,476   110,128       X        28-5284   110128
                                                             129,038     5,550       X      X 28-5284     3400       350    1800
CEDAR SHOPPING CTRS INC      COM NEW        150602209          3,165       271       X        28-5284      271
CELADON GROUP INC            COM            150838100            891        92       X        28-5284       92
   COLUMN TOTAL                                           62,015,830







                                                                                                                    FILE NO. 28-1235
PAGE  50 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         12,926       331       X        28-5284      331
                                                               4,452       114       X      X 28-5284      114
                                                              30,069       770       X        28-11135     770
CELANESE CORP DEL            PFD 4.25% CONV 150870202      7,323,950   145,000       X        28-11439  145000
CELGENE CORP                 COM            151020104        239,276     3,904       X        28-5284     3004               900
                                                           1,640,488    26,766       X      X 28-5284    26766
                                                              88,380     1,442       X        28-11135    1442
CEMEX SAB DE CV              SPON ADR NEW   151290889        240,617     9,212       X        28-5284     9212
                                                              99,674     3,816       X      X 28-5284     3316               500
                                                              46,938     1,797       X        28-11135    1797
CENTENNIAL BK HLDGS INC DEL  COM            151345303          1,080       172       X        28-5284      172
CENTER FINL CORP CALIF       COM            15146E102          9,060     1,000       X        28-5284     1000
CENTERLINE HOLDINGS CO       SH BEN INT     15188T108          2,558       630       X        28-11135     630
CENTERPOINT ENERGY INC       NOTE  3.750% 5 15189TAM9      4,468,450     3,500       X        28-11439    3500
CENTERPOINT ENERGY INC       COM            15189T107        150,206    10,526       X        28-5284    10526
                                                             239,779    16,803       X      X 28-5284    16553               250
CENTERPLATE INC              UNIT 99/99/999 15200E204         30,043     3,050       X      X 28-5284     3050
CENTEX CORP                  COM            152312104        183,512     7,580       X        28-5284                       7580
                                                              72,630     3,000       X        28-11439    3000
                                                               1,089        45       X        28-4580       45
CENTILLIUM COMMUNICATIONS IN COM            152319109      2,154,496 3,264,388       X      X 28-5284            3264388
CENTRAL EUROPEAN DIST CORP   COM            153435102          4,539        78       X        28-5284       78
                                                               5,877       101       X      X 28-5284      101
                                                             304,276     5,229       X        28-11135    5229
CENTRAL EUROPE AND RUSSIA FD COM            153436100         13,941       294       X        28-5284      294
CENTRAL FD CDA LTD           CL A           153501101        659,821    52,450       X        28-5284    52450
                                                              12,580     1,000       X      X 28-4580     1000
CENTRAL GARDEN & PET CO      CL A NON-VTG   153527205            888       200       X        28-5284      200
   COLUMN TOTAL                                           18,041,595







                                                                                                                    FILE NO. 28-1235
PAGE  51 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CENTRAL PAC FINL CORP        COM            154760102         33,930     1,800       X        28-5284     1800
                                                              18,850     1,000       X      X 28-5284     1000
CENTRAL VT PUB SVC CORP      COM            155771108          1,912        80       X        28-5284                         80
                                                               7,170       300       X      X 28-5284      300
CENTURY ALUM CO              COM            156431108         14,573       220       X        28-5284                        220
                                                              11,724       177       X        28-11135     177
CENTURY CASINOS INC          COM            156492100         50,655    15,586       X      X 28-5284              15586
CENTURYTEL INC               COM            156700106        144,561     4,349       X        28-5284     3859               490
                                                              48,098     1,447       X      X 28-5284     1447
                                                              45,240     1,361       X        28-11135    1361
                                                             180,493     5,430       X        28-11439    5430
CEPHALON INC                 COM            156708109      5,452,941    84,673       X        28-5284    64057             20616
                                                           3,160,044    49,069       X      X 28-5284    39654              9415
                                                             247,618     3,845       X        28-11135    3845
CERADYNE INC                 COM            156710105          3,132        98       X        28-5284       98
                                                              75,106     2,350       X      X 28-5284      100              2250
CERNER CORP                  COM            156782104        518,192    13,900       X        28-5284    11975              1925
                                                              11,445       307       X      X 28-5284      307
CHAMPION ENTERPRISES INC     COM            158496109          6,319       630       X        28-5284      100               530
                                                               1,003       100       X      X 28-5284      100
CHARLES & COLVARD LTD        COM            159765106            446       363       X        28-5284      363
CHARLES RIV LABS INTL INC    COM            159864107         10,609       180       X        28-5284      180
                                                             306,842     5,206       X      X 28-5284     1100              4106
                                                              92,477     1,569       X        28-11135    1569
CHARMING SHOPPES INC         COM            161133103        156,251    32,350       X        28-5284    32350
                                                               2,077       430       X      X 28-5284      430
CHART INDS INC               COM PAR $0.01  16115Q308         67,646     1,999       X        28-11135    1999
CHARTER COMMUNICATIONS INC D CL A           16117M107          2,026     2,378       X        28-5284     2378
                                                                  65        76       X      X 28-5284       76
   COLUMN TOTAL                                           10,671,445







                                                                                                                    FILE NO. 28-1235
PAGE  52 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CHARTWELL DIVD & INCOME FD I COM            16139P104          2,632       400       X        28-5284      400
CHATTEM INC                  COM            162456107      1,064,094    16,040       X      X 28-5284    15840               200
                                                             252,689     3,809       X        28-11135    3809
CHECKPOINT SYS INC           COM            162825103          9,935       370       X        28-5284       70               300
CHEESECAKE FACTORY INC       COM            163072101         73,302     3,364       X        28-5284     3364
                                                               3,813       175       X      X 28-5284      175
CHEMED CORP NEW              COM            16359R103          8,440       200       X        28-5284      200
                                                              38,866       921       X        28-11135     921
CHEMTURA CORP                COM            163893100         67,293     9,168       X        28-5284     9168
                                                              50,668     6,903       X      X 28-5284     6681               222
                                                              10,753     1,465       X        28-4580     1465
CHENIERE ENERGY PARTNERS LP  COM UNIT       16411Q101         29,840     2,000       X      X 28-5284     2000
CHEROKEE INC DEL NEW         COM            16444H102        639,730    19,000       X        28-5284    19000
CHESAPEAKE CORP              COM            165159104            577       120       X        28-5284                        120
CHESAPEAKE ENERGY CORP       COM            165167107        560,861    12,153       X        28-5284    11153              1000
                                                           3,443,252    74,610       X      X 28-5284    74610
                                                          13,212,237   286,289       X        28-11439  286289
                                                             115,375     2,500       X        28-4580                       2500
                                                              10,245       222       X      X 28-4580      222
CHESAPEAKE UTILS CORP        COM            165303108         45,557     1,537       X        28-5284      537              1000
                                                             201,552     6,800       X      X 28-5284     5600              1200
                                                              88,298     2,979       X        28-4580     2979
CHEVRON CORP NEW             COM            166764100    182,545,774 2,138,540       X        28-5284  1971349       443  166748
                                                         156,954,761 1,838,739       X      X 28-5284  1653164      4550  181025
                                                           2,101,392    24,618       X        28-11135   24618
                                                           3,925,706    45,990       X        28-4580    45890               100
                                                           2,510,523    29,411       X      X 28-4580    27085       944    1382
CHICAGO BRIDGE & IRON CO N V N Y REGISTRY S 167250109         78,912     2,011       X        28-5284     1011              1000
                                                           2,833,128    72,200       X      X 28-5284    52850             19350
   COLUMN TOTAL                                          370,880,205







                                                                                                                    FILE NO. 28-1235
PAGE  53 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CHICOS FAS INC               COM            168615102         60,222     8,470       X        28-5284     8270               200
                                                              14,327     2,015       X      X 28-5284     2015
                                                               4,266       600       X        28-11135     600
CHILE FD INC                 COM            168834109          5,634       300       X      X 28-5284      300
CHINA EASTN AIRLS LTD        SPON ADR CL H  16937R104          8,121       158       X        28-5284      158
CHINA FD INC                 COM            169373107         11,098       349       X      X 28-5284      233               116
CHINA LIFE INS CO LTD        SPON ADR REP H 16939P106          4,685        90       X        28-5284       90
                                                              26,030       500       X      X 28-5284                        500
CHINA NETCOM GROUP CORP HK L SPONSORED ADR  16940Q101            174         3       X      X 28-5284        3
CHINA SOUTHN AIRLS LTD       SPON ADR CL H  169409109          3,172        80       X        28-5284       80
CHINA MOBILE LIMITED         SPONSORED ADR  16941M109         28,354       378       X        28-5284      378
                                                             117,766     1,570       X      X 28-5284     1570
                                                              15,002       200       X      X 28-4580      200
CHINA PETE & CHEM CORP       SPON ADR H SHS 16941R108         17,454       203       X      X 28-5284      203
                                                             234,725     2,730       X        28-11135    2730
CHINA SEC & SURVE TECH INC   COM            16942J105         71,000     4,000       X      X 28-5284     4000
CHINA TELECOM CORP LTD       SPON ADR H SHS 169426103         51,835       825       X        28-5284      825
CHINA UNICOM LTD             SPONSORED ADR  16945R104        112,731     5,300       X        28-5284     5300
                                                              26,588     1,250       X      X 28-5284     1250
CHINDEX INTERNATIONAL INC    COM            169467107        826,944    21,900       X      X 28-5284    21900
CHINA MED TECHNOLOGIES INC   SPONSORED ADR  169483104         20,545       500       X        28-5284      500
                                                             852,618    20,750       X      X 28-5284    20750
CHIPOTLE MEXICAN GRILL INC   CL A           169656105         73,956       652       X        28-5284      652
                                                             206,102     1,817       X      X 28-5284     1067               750
CHIPOTLE MEXICAN GRILL INC   CL B           169656204         24,175       249       X        28-5284       49               200
                                                              11,457       118       X      X 28-5284      109                 9
   COLUMN TOTAL                                            2,828,981







                                                                                                                    FILE NO. 28-1235
PAGE  54 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CHOICE HOTELS INTL INC       COM            169905106         68,220     2,000       X        28-5284     2000
                                                              34,110     1,000       X      X 28-5284     1000
                                                              51,165     1,500       X      X 28-4580     1500
CHIQUITA BRANDS INTL INC     COM            170032809         23,110     1,000       X      X 28-5284                       1000
CHOICEPOINT INC              COM            170388102         77,588     1,630       X        28-5284     1630
                                                              19,040       400       X      X 28-5284      400
                                                               9,044       190       X        28-11135     190
CHRISTOPHER & BANKS CORP     COM            171046105          2,647       265       X        28-5284                        265
                                                              43,956     4,400       X      X 28-5284     4400
CHUBB CORP                   COM            171232101     42,910,689   867,233       X        28-5284   807084             60149
                                                          19,998,381   404,171       X      X 28-5284   346637      4681   52853
                                                             156,159     3,156       X        28-11135    3156
                                                             738,538    14,926       X        28-4580    14453               473
                                                             159,128     3,216       X      X 28-4580     3216
CHUNGHWA TELECOM CO LTD      SPON ADR NEW   17133Q304         95,624     3,675       X        28-5284     3675
                                                               2,602       100       X      X 28-5284      100
                                                               1,145        44       X        28-11135      44
CHURCH & DWIGHT INC          COM            171340102        252,216     4,650       X        28-5284     4650
                                                           7,577,870   139,710       X      X 28-5284   139710
                                                          11,092,080   204,500       X        28-11439  204500
CHURCHILL DOWNS INC          COM            171484108      3,194,652    67,626       X        28-5284    67526               100
                                                              36,658       776       X      X 28-5284      776
CIBER INC                    COM            17163B102          1,617       330       X        28-5284                        330
CIENA CORP                   COM NEW        171779309         17,820       578       X      X 28-5284      578
CIMAREX ENERGY CO            COM            171798101        136,850     2,500       X        28-5284     2500
                                                             238,119     4,350       X      X 28-5284                       4350
                                                               1,533        28       X        28-11135      28
CINCINNATI BELL INC NEW      COM            171871106        237,325    55,710       X        28-5284    55710
                                                                 136        32       X      X 28-5284       32
CINCINNATI BELL INC NEW      PFD CV DEP1/20 171871403         59,360     1,400       X      X 28-5284     1400
   COLUMN TOTAL                                           87,237,382







                                                                                                                    FILE NO. 28-1235
PAGE  55 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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     35,863,123   942,774       X        28-5284   735865            206909
                                                           2,402,873    63,167       X      X 28-5284    54702       200    8265
                                                             104,001     2,734       X        28-11135    2734
CIRCOR INTL INC              COM            17273K109         32,375       700       X        28-5284      700
CIRCUIT CITY STORE INC       COM            172737108      3,601,060   904,789       X        28-5284   833342             71447
                                                             253,156    63,607       X      X 28-5284    63212               395
                                                               1,711       430       X        28-4580      430
CISCO SYS INC                COM            17275R102    157,398,592 6,533,773       X        28-5284  6137586            396187
                                                          91,850,834 3,812,820       X      X 28-5284  3452345     29308  331167
                                                             294,476    12,224       X        28-11135   12224
                                                           2,538,845   105,390       X        28-4580   104120              1270
                                                             714,678    29,667       X      X 28-4580    29667
CIRRUS LOGIC INC             COM            172755100            571        85       X      X 28-5284       85
CITADEL BROADCASTING CORP    COM            17285T106         36,933    22,249       X        28-5284    21212              1037
                                                              56,931    34,296       X      X 28-5284    31445       398    2453
                                                                  10         6       X        28-11135       6
                                                                 833       502       X        28-4580      372               130
                                                                 506       305       X      X 28-4580      305
CINTAS CORP                  COM            172908105      3,355,819   117,583       X        28-5284   114950              2633
                                                           3,219,769   112,816       X      X 28-5284   110896              1920
CITIZENS & NORTHN CORP       COM            172922106        141,963     7,159       X        28-5284     7159
                                                             648,124    32,684       X      X 28-5284    32684
CITIGROUP INC                COM            172967101     49,961,165 2,332,454       X        28-5284  2119647       260  212547
                                                          37,243,597 1,738,730       X      X 28-5284  1521462     12760  204508
                                                             433,905    20,257       X        28-11135   20257
                                                             761,352    35,544       X        28-4580    35544
                                                             899,340    41,986       X      X 28-4580    40268       189    1529
CITIZENS REPUBLIC BANCORP IN COM            174420109          1,243       100       X      X 28-5284      100
CITIZENS COMMUNICATIONS CO   COM            17453B101        125,030    11,919       X        28-5284    10919              1000
                                                             409,928    39,078       X      X 28-5284    27078             12000
                                                              68,699     6,549       X      X 28-4580     6549
   COLUMN TOTAL                                          392,421,442







                                                                                                                    FILE NO. 28-1235
PAGE  56 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CITIZENS FIRST CORP          COM            17462Q107         87,000    10,000       X        28-5284    10000
CITRIX SYS INC               COM            177376100         70,480     2,403       X        28-5284     2403
                                                              30,474     1,039       X        28-11135    1039
CITY BK LYNNWOOD WASH        COM            17770A109         42,669     1,916       X        28-11135    1916
CITY HLDG CO                 COM            177835105        260,587     6,531       X        28-5284     6531
                                                           1,476,300    37,000       X        28-1500    37000
CITY NATL CORP               COM            178566105        253,384     5,123       X        28-5284     3571              1552
                                                              90,462     1,829       X      X 28-5284     1829
                                                                 989        20       X        28-11135      20
CLARCOR INC                  COM            179895107         24,174       680       X        28-5284      300               380
                                                             347,892     9,786       X      X 28-5284     9786
CLARIENT INC                 COM            180489106        120,176    81,200       X        28-5284    81200
CLAYMORE EXCHANGE TRADED FD  BNY BRI&C PTF  18383M100        194,256     4,260       X        28-5284     4260
CLAYMORE EXCHANGE TRADED FD  ZACKS SECT RTN 18383M407         21,920       800       X      X 28-5284      800
CLAYMORE ETF TRUST 2         GBL BROK ASSET 18383Q309          8,098       391       X        28-4580      391
CLAYMORE ETF TRUST 2         S&P GBL WATER  18383Q507         12,737       542       X        28-4580      542
CLAYMORE ETF TRUST 2         SWM CDN ENERGY 18383Q606         22,334       880       X      X 28-5284      880
CLAYMORE/GUGGENHEIM STR OPP  COM SBI        18385X104         24,150     1,500       X      X 28-5284     1500
CLEAN HARBORS INC            COM            184496107      1,547,000    23,800       X      X 28-5284    23800
CLEAN ENERGY FUELS CORP      COM            184499101         13,360     1,000       X      X 28-5284     1000
CLEAR CHANNEL COMMUNICATIONS COM            184502102        390,555    13,366       X        28-5284     9524              3842
                                                           1,712,497    58,607       X      X 28-5284    46607             12000
                                                              30,038     1,028       X        28-11135    1028
CLEAR CHANNEL OUTDOOR HLDGS  CL A           18451C109         12,680       667       X        28-5284      667
                                                               6,330       333       X      X 28-5284      333
CLEARFIELD INC               COM            18482P103             29        27       X      X 28-5284                         27
   COLUMN TOTAL                                            6,800,571







                                                                                                                    FILE NO. 28-1235
PAGE  57 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CLEVELAND CLIFFS INC         COM            185896107         55,117       460       X        28-5284      460
                                                             293,679     2,451       X      X 28-5284     2451
CLOROX CO DEL                COM            189054109     10,670,806   188,397       X        28-5284   178872              9525
                                                           4,645,330    82,015       X      X 28-5284    75440              6575
                                                             345,504     6,100       X        28-4580     6100
                                                              28,320       500       X      X 28-4580      500
COACH INC                    COM            189754104      7,919,109   262,657       X        28-5284   255057              7600
                                                           4,875,979   161,724       X      X 28-5284   157909       300    3515
                                                             930,942    30,877       X        28-11135   30877
                                                             148,398     4,922       X        28-4580     4922
                                                               9,166       304       X      X 28-4580      304
COACHMEN INDS INC            COM            189873102            268        90       X        28-5284                         90
COCA COLA BOTTLING CO CONS   COM            191098102            308         5       X        28-5284        5
COCA COLA CO                 COM            191216100    143,504,434 2,357,556       X        28-5284  2237359            120197
                                                         118,597,525 1,948,374       X      X 28-5284  1799904     12808  135662
                                                             132,392     2,175       X        28-11135    2175
                                                           3,225,684    52,993       X        28-4580    52860               133
                                                           3,415,537    56,112       X      X 28-4580    54200       675    1237
COCA COLA ENTERPRISES INC    COM            191219104         27,249     1,126       X        28-5284     1126
                                                              44,407     1,835       X      X 28-5284     1835
COCA COLA FEMSA S A B DE C V SPON ADR REP L 191241108         22,532       400       X        28-5284      400
                                                             573,496    10,181       X        28-11135   10181
COEUR D ALENE MINES CORP IDA COM            192108108         24,240     6,000       X        28-5284     6000
                                                              20,200     5,000       X      X 28-5284     4000              1000
COGNEX CORP                  COM            192422103          6,986       320       X        28-5284                        320
                                                             690,745    31,642       X        28-11135   31642
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102        489,130    16,966       X        28-5284    16766               200
                                                             192,988     6,694       X      X 28-5284     6444               250
                                                              80,868     2,805       X        28-11135    2805
COHEN & STEERS INC           COM            19247A100         26,490     1,000       X        28-5284     1000
COHEN & STEERS QUALITY RLTY  COM            19247L106         23,383     1,479       X      X 28-5284     1479
   COLUMN TOTAL                                          301,021,212







                                                                                                                    FILE NO. 28-1235
PAGE  58 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
COHEN & STEERS ADV INC RLTY  COM            19247W102          9,970       647       X        28-5284      647
                                                              30,820     2,000       X      X 28-5284     2000
COHEN & STEERS REIT & PFD IN COM            19247X100        145,500     7,500       X      X 28-5284     7500
COHERENT INC                 COM            192479103         19,523       700       X        28-5284      700
COHEN & STEERS SELECT UTIL F COM            19248A109         25,179     1,100       X        28-5284     1100
                                                             120,905     5,282       X      X 28-5284     5282
COHEN & STEERS DIV MJRS FDIN COM            19248G106         89,857     5,816       X        28-5284     5816
COHEN & STEERS WRLDWD RLT IN COM            19248J100          3,997       269       X        28-5284      269
COHEN & STEERS CLOSED END OP COM            19248P106         75,350     5,000       X        28-5284     5000
                                                              83,880     5,566       X      X 28-5284     5566
COHU INC                     COM            192576106          2,600       160       X        28-5284                        160
COINSTAR INC                 COM            19259P300          6,472       230       X        28-5284      230
COLDWATER CREEK INC          COM            193068103      1,748,340   346,206       X        28-5284   294296             51910
                                                             115,746    22,920       X      X 28-5284    22920
COLGATE PALMOLIVE CO         COM            194162103     60,654,961   778,526       X        28-5284   721055             57471
                                                          41,160,632   528,310       X      X 28-5284   495581      4519   28210
                                                           1,021,400    13,110       X        28-4580    12699               411
                                                             649,068     8,331       X      X 28-4580     8331
COLLECTIVE BRANDS INC        COM            19421W100         12,508     1,032       X        28-5284     1032
                                                              57,012     4,704       X      X 28-5284     4704
                                                             333,845    27,545       X        28-11135   27545
COLONIAL BANCGROUP INC       COM            195493309        279,713    29,046       X        28-5284    29046
                                                             548,910    57,000       X      X 28-5284     5000             52000
                                                               1,002       104       X        28-11135     104
COLONIAL PPTYS TR            COM SH BEN INT 195872106         33,862     1,408       X        28-5284     1038               370
                                                             199,350     8,289       X      X 28-5284     8289
                                                               1,034        43       X        28-11135      43
COLUMBIA SPORTSWEAR CO       COM            198516106         30,953       703       X        28-5284                        703
   COLUMN TOTAL                                          107,462,389







                                                                                                                    FILE NO. 28-1235
PAGE  59 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
COMCAST CORP NEW             CL A           20030N101     42,059,936 2,174,764       X        28-5284  2055828            118936
                                                          15,083,730   779,924       X      X 28-5284   679935      6420   93569
                                                              12,784       661       X        28-11135     661
                                                             115,673     5,981       X        28-4580     5981
                                                             201,987    10,444       X      X 28-4580    10444
COMCAST CORP NEW             CL A SPL       20030N200     66,206,173 3,490,046       X        28-5284  3434396             55650
                                                           2,000,292   105,445       X      X 28-5284    60595      4550   40300
                                                              11,951       630       X        28-4580      630
                                                               6,848       361       X      X 28-4580      361
COMERICA INC                 COM            200340107        722,473    20,595       X        28-5284    16650              3945
                                                             589,905    16,816       X      X 28-5284    15256              1560
                                                           1,252,356    35,700       X        28-1500    35700
COMM BANCORP INC             COM            200468106        721,600    17,600       X        28-5284    17600
COMMERCE BANCSHARES INC      COM            200525103          3,573        85       X        28-5284       85
                                                              32,237       767       X      X 28-5284      767
COMMERCE GROUP INC MASS      COM            200641108          3,606       100       X        28-5284      100
                                                               7,212       200       X      X 28-5284      200
COMMERCEFIRST BANCORP INC    COM            200845105         26,063     2,500       X      X 28-5284     2500
COMMERCIAL METALS CO         COM            201723103          5,994       200       X        28-5284      200
                                                              51,219     1,709       X      X 28-5284     1709
                                                               1,229        41       X        28-11135      41
COMMERICAL NATL FINL CORP PA COM            202217105          2,408       150       X      X 28-5284      150
COMMSCOPE INC                COM            203372107        208,980     6,000       X        28-5284     6000
                                                               1,080        31       X      X 28-5284       31
                                                               8,951       257       X        28-11135     257
COMMUNITY BANCSHARES INC S C COM            20343F100         28,212     2,353       X      X 28-5284     2353
                                                             232,606    19,400       X        28-1500    19400
COMMUNITY BK SYS INC         COM            203607106        153,942     6,268       X        28-5284     6268
                                                              24,560     1,000       X      X 28-5284     1000
COMMUNITY HEALTH SYS INC NEW COM            203668108          4,196       125       X        28-5284      125
                                                              10,071       300       X      X 28-5284      300
   COLUMN TOTAL                                          129,791,847







                                                                                                                    FILE NO. 28-1235
PAGE  60 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
COMMUNITY TR BANCORP INC     COM            204149108        391,595    13,365       X        28-5284     2521             10844
CGG VERITAS                  SPONSORED ADR  204386106        111,051     2,243       X        28-5284     2243
                                                             121,399     2,452       X      X 28-5284     2452
COMPANHIA SIDERURGICA NACION SPONSORED ADR  20440W105        240,773     6,690       X      X 28-5284     2250              4440
COMPANHIA DE SANEAMENTO BASI SPONSORED ADR  20441A102          4,655       105       X        28-4580      105
COMPANHIA DE BEBIDAS DAS AME SPONSORED ADR  20441W104          1,308        20       X        28-11135      20
COMPANHIA DE BEBIDAS DAS AME SPON ADR PFD   20441W203        161,979     2,144       X        28-11135    2144
COMPANHIA VALE DO RIO DOCE   SPON ADR PFD   204412100        323,652    11,103       X        28-11135   11103
COMPANHIA VALE DO RIO DOCE   SPONSORED ADR  204412209        502,280    14,500       X        28-5284    14500
                                                             279,718     8,075       X      X 28-5284     8075
COMPASS MINERALS INTL INC    COM            20451N101         58,980     1,000       X        28-5284     1000
                                                              21,233       360       X      X 28-5284      360
COMPLETE PRODUCTION SERVICES COM            20453E109            963        42       X        28-5284       42
COMPUCREDIT CORP             COM            20478N100        100,515    11,332       X        28-11135   11332
COMPUTER SCIENCES CORP       COM            205363104        560,781    13,748       X        28-5284     3556             10192
                                                             106,136     2,602       X      X 28-5284     1102              1500
                                                               5,833       143       X        28-11135     143
COMPX INTERNATIONAL INC      CL A           20563P101            460        50       X        28-5284       50
COMTECH TELECOMMUNICATIONS C COM NEW        205826209         41,262     1,058       X        28-5284     1058
                                                             255,489     6,551       X        28-11135    6551
CONAGRA FOODS INC            COM            205887102        248,002    10,355       X        28-5284     9355              1000
                                                           2,562,746   107,004       X      X 28-5284   104004       500    2500
                                                              21,866       913       X        28-11135     913
CON-WAY INC                  COM            205944101         27,214       550       X        28-5284      550
CONEXANT SYSTEMS INC         COM            207142100         19,720    34,000       X        28-5284    34000
   COLUMN TOTAL                                            6,169,610







                                                                                                                    FILE NO. 28-1235
PAGE  61 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CONMED CORP                  COM            207410101          5,384       210       X        28-5284                        210
                                                              12,820       500       X      X 28-5284      500
CONNECTICUT WTR SVC INC      COM            207797101          2,367       100       X        28-5284      100
                                                             106,515     4,500       X      X 28-5284                       4500
CONOCOPHILLIPS               COM            20825C104     56,896,405   746,574       X        28-5284   646215            100359
                                                          38,900,023   510,432       X      X 28-5284   466646      1640   42146
                                                           2,193,933    28,788       X        28-11135   28788
                                                           8,298,583   108,891       X        28-4580   108891
                                                          11,005,257   144,407       X      X 28-4580   139420       354    4633
CONSECO INC                  COM NEW        208464883         17,116     1,678       X        28-5284     1678
                                                             561,000    55,000       X      X 28-5284              55000
                                                               9,231       905       X        28-4580      905
CONSOL ENERGY INC            COM            20854P109        633,089     9,150       X        28-5284     9150
                                                             252,544     3,650       X      X 28-5284     2900               750
CONSOLIDATED COMM HLDGS INC  COM            209034107        106,651     7,049       X        28-5284     7049
                                                              12,104       800       X      X 28-5284      800
CONSOLIDATED EDISON INC      COM            209115104      7,030,711   177,096       X        28-5284   167176              9920
                                                          12,584,066   316,979       X      X 28-5284   156719       250  160010
                                                             282,982     7,128       X        28-4580     7128
                                                             192,664     4,853       X      X 28-4580     4853
CONSOLIDATED GRAPHICS INC    COM            209341106          5,045        90       X        28-5284                         90
CONSOLIDATED TOMOKA LD CO    COM            210226106        217,194     3,875       X      X 28-5284      325      2000    1550
CONSTELLATION BRANDS INC     CL A           21036P108        574,876    32,534       X        28-5284    32484                50
                                                              32,690     1,850       X      X 28-5284     1850
                                                             618,167    34,984       X        28-11135   34984
CONSTELLATION BRANDS INC     CL B           21036P207         15,904       896       X        28-5284      896
CONSTELLATION ENERGY GROUP I COM            210371100      8,890,201   100,716       X        28-5284    86401             14315
                                                          12,910,282   146,259       X      X 28-5284   118385             27874
                                                               4,502        51       X        28-11135      51
                                                              61,789       700       X        28-4580      700
CONSTELLATION ENERGY PRTNR L COM UNIT LLC B 21038E101         18,270     1,000       X      X 28-5284                       1000
   COLUMN TOTAL                                          162,452,365







                                                                                                                    FILE NO. 28-1235
PAGE  62 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CONSUMER PORTFOLIO SVCS INC  COM            210502100         85,200    30,000       X        28-5284    30000
CONTANGO OIL & GAS COMPANY   COM NEW        21075N204         84,639     1,310       X      X 28-5284                       1310
CONTINENTAL AIRLS INC        CL B           210795308          2,288       119       X        28-5284      119
                                                              19,230     1,000       X      X 28-5284     1000
CONVERGYS CORP               COM            212485106      7,582,123   503,461       X        28-5284   503461
                                                             436,439    28,980       X      X 28-5284    27480              1500
COOPER COS INC               COM NEW        216648402         28,921       840       X        28-5284      500               340
                                                                 379        11       X        28-11135      11
COOPER TIRE & RUBR CO        COM            216831107        352,544    23,550       X        28-5284    23550
COPART INC                   COM            217204106        101,357     2,615       X        28-5284     2615
CORGI INTERNATIONAL LIMITED  SPON ADR NEW   21872Q202         17,355    10,984       X        28-5284    10984
CORINTHIAN COLLEGES INC      COM            218868107         67,962     9,400       X      X 28-5284     9400
CORN PRODS INTL INC          COM            219023108        214,335     5,771       X        28-5284     5771
                                                           1,333,177    35,896       X      X 28-5284    33571              2325
CORNING INC                  COM            219350105      4,981,401   207,213       X        28-5284   190175             17038
                                                           6,998,958   291,138       X      X 28-5284   254738             36400
                                                             169,290     7,042       X        28-11135    7042
                                                             115,079     4,787       X        28-4580     4787
                                                             137,966     5,739       X      X 28-4580     5739
CORPORATE EXECUTIVE BRD CO   COM            21988R102         36,432       900       X        28-5284                        900
CORPORATE EXPRESS N V        SPON ADR       21989G105         59,888     5,123       X        28-5284     5123
                                                              58,450     5,000       X      X 28-5284     5000
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108        830,839    24,720       X        28-5284    17870              6850
                                                             416,428    12,390       X      X 28-5284    12390
                                                              45,374     1,350       X        28-4580     1350
                                                              20,166       600       X      X 28-4580      600
CORRECTIONS CORP AMER NEW    COM NEW        22025Y407          2,532        92       X        28-5284       92
                                                               5,504       200       X      X 28-5284      200
   COLUMN TOTAL                                           24,204,256







                                                                                                                    FILE NO. 28-1235
PAGE  63 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CORUS ENTERTAINMENT INC      COM CL B NON V 220874101        119,285     6,766       X        28-11135    6766
CORVEL CORP                  COM            221006109         14,683       480       X      X 28-5284      480
COSTCO WHSL CORP NEW         COM            22160K105     13,868,301   213,457       X        28-5284   176957             36500
                                                           5,969,379    91,879       X      X 28-5284    65089             26790
                                                              10,200       157       X        28-11135     157
                                                             622,413     9,580       X        28-11439    9580
                                                              22,545       347       X        28-4580      347
COTT CORP QUE                COM            22163N106          5,844     1,665       X        28-5284     1665
COUNTRYWIDE FINANCIAL CORP   COM            222372104      5,183,178   942,396       X        28-5284   837161            105235
                                                             350,196    63,672       X      X 28-5284    61672              2000
                                                               6,160     1,120       X        28-4580     1120
                                                               2,750       500       X      X 28-4580      500
COUSINS PPTYS INC            COM            222795106            840        34       X        28-5284       34
                                                           1,240,442    50,200       X      X 28-5284    50000               200
                                                              74,130     3,000       X        28-4580                       3000
COVAD COMMUNICATIONS GROUP I COM            222814204          6,070     6,200       X      X 28-5284               6200
COVANCE INC                  COM            222816100      3,478,185    41,921       X        28-5284    41921
                                                           2,426,126    29,241       X      X 28-5284    28221              1020
COVENTRY HEALTH CARE INC     COM            222862104        134,083     3,323       X        28-5284     2973               350
                                                             320,218     7,936       X      X 28-5284     1236              6700
                                                             249,807     6,191       X        28-11135    6191
CRANE CO                     COM            224399105        242,100     6,000       X      X 28-5284     6000
CREDIT SUISSE ASSET MGMT INC COM            224916106         77,970    23,000       X        28-5284    23000
CRAY INC                     COM NEW        225223304         10,800     1,812       X        28-5284     1812
CREDENCE SYS CORP            NOTE  3.500% 5 225302AG3        944,625    11,000       X        28-4580    11000
CREDIT SUISSE GROUP          SPONSORED ADR  225401108         10,990       216       X        28-5284      216
                                                                 458         9       X      X 28-5284        9
                                                               2,748        54       X        28-11135      54
   COLUMN TOTAL                                           35,394,526







                                                                                                                    FILE NO. 28-1235
PAGE  64 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CREDIT SUISSE HIGH YLD BND F SH BEN INT     22544F103         17,304     5,600       X      X 28-5284                       5600
CREE INC                     COM            225447101         60,673     2,170       X        28-5284     2170
                                                              76,415     2,733       X      X 28-5284     2733
                                                             489,859    17,520       X        28-11135   17520
CRESCENT FINL CORP           COM            225744101         21,972     2,644       X      X 28-5284                       2644
CROCS INC                    COM            227046109          5,555       318       X        28-5284      318
                                                             213,693    12,232       X      X 28-5284    12232
CROSS TIMBERS RTY TR         TR UNIT        22757R109         41,693       850       X        28-5284      850
                                                           2,869,670    58,505       X      X 28-5284    58505
CROSSTEX ENERGY L P          COM            22765U102         30,740     1,000       X        28-5284     1000
                                                               9,222       300       X      X 28-5284      300
CROSSTEX ENERGY INC          COM            22765Y104         16,975       500       X      X 28-5284      500
CROWN CASTLE INTL CORP       COM            228227104        402,084    11,658       X        28-5284    11658
                                                              20,763       602       X      X 28-5284      602
                                                              93,364     2,707       X        28-11135    2707
CROWN HOLDINGS INC           COM            228368106        188,700     7,500       X        28-5284     7500
                                                              25,160     1,000       X      X 28-5284     1000
CRUCELL N V                  SPONSORED ADR  228769105            848        55       X        28-5284       55
CRYOLIFE INC                 COM            228903100          1,410       150       X        28-5284                        150
CRYSTAL RIV CAP INC          COM            229393301          3,572       400       X        28-5284      400
CRYSTALLEX INTL CORP         COM            22942F101          2,270     1,000       X        28-5284     1000
                                                              11,802     5,199       X        28-4580     5199
CTRIP COM INTL LTD           ADR            22943F100          1,060        20       X        28-5284       20
CUBIC CORP                   COM            229669106          5,686       200       X        28-5284      200
CUBIST PHARMACEUTICALS INC   COM            229678107      1,414,656    76,800       X      X 28-5284    76800
   COLUMN TOTAL                                            6,025,146







                                                                                                                    FILE NO. 28-1235
PAGE  65 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
CULLEN FROST BANKERS INC     COM            229899109      2,625,692    49,504       X        28-5284    47844              1660
                                                             213,168     4,019       X      X 28-5284     3793               226
                                                               3,129        59       X        28-11135      59
CUMMINS INC                  COM            231021106      8,024,386   171,388       X        28-5284   167858              3530
                                                           3,851,085    82,253       X      X 28-5284    78413       700    3140
                                                             453,218     9,680       X        28-4580     9680
                                                              18,728       400       X      X 28-4580      400
CUMULUS MEDIA INC            CL A           231082108          4,626       725       X        28-5284      725
CURAGEN CORP                 COM            23126R101          8,000    10,000       X      X 28-5284    10000
CURRENCYSHARES AUSTRALIAN DL AUSTRALIAN DOL 23129U101         46,763       509       X      X 28-5284      509
CURRENCYSHARES SWISS FRANC T SWISS FRANC SH 23129V109        302,850     3,000       X        28-5284     3000
CURRENCYSHS JAPANESE YEN TR  JAPANESE YEN   23130A102          5,413        54       X        28-5284       54
CURRENCY SHARES EURO TR      EURO SHS       23130C108        627,620     3,965       X        28-5284     3965
                                                              34,824       220       X      X 28-5284      220
CURTISS WRIGHT CORP          COM            231561101         16,924       408       X        28-5284       68               340
                                                               8,296       200       X      X 28-5284      200
CYBERSOURCE CORP             COM            23251J106        629,691    43,100       X      X 28-5284    43100
CYBERONICS INC               COM            23251P102          7,250       500       X        28-5284                        500
CYBEROPTICS CORP             COM            232517102        380,540    34,848       X        28-11135   34848
CYMER INC                    COM            232572107         17,186       660       X        28-5284      400               260
CYNOSURE INC                 CL A           232577205          2,854       134       X        28-5284      134
CYPRESS SEMICONDUCTOR CORP   COM            232806109        146,382     6,200       X      X 28-5284     6200
CYTEC INDS INC               COM            232820100         19,224       357       X        28-5284      357
                                                             109,531     2,034       X      X 28-5284     1155               879
                                                              89,068     1,654       X        28-11135    1654
CYTOGEN CORP                 COM NEW        232824300            114       200       X        28-5284      200
   COLUMN TOTAL                                           17,646,562







                                                                                                                    FILE NO. 28-1235
PAGE  66 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DCP MIDSTREAM PARTNERS LP    COM UT LTD PTN 23311P100         76,850     2,650       X        28-5284     2650
DCT INDUSTRIAL TRUST INC     COM            233153105            767        77       X        28-5284       77
                                                                 149        15       X      X 28-5284       15
DDI CORP                     COM 0.0001 NEW 233162502      4,408,868   950,187       X      X 28-5284             950187
DNP SELECT INCOME FD         COM            23325P104        545,578    50,099       X        28-5284    50099
                                                           1,233,227   113,244       X      X 28-5284    16250             96994
DG FASTCHANNEL INC           COM            23326R109         95,900     5,000       X      X 28-5284     5000
DPL INC                      COM            233293109        369,447    14,409       X        28-5284    13329              1080
                                                             589,233    22,981       X      X 28-5284    18489              4492
DRS TECHNOLOGIES INC         COM            23330X100         58,280     1,000       X        28-5284     1000
                                                             238,657     4,095       X      X 28-5284      150              3945
                                                               1,049        18       X        28-11135      18
D R HORTON INC               COM            23331A109        472,248    29,984       X        28-5284    10137             19847
                                                               8,993       571       X      X 28-5284      571
                                                               6,064       385       X        28-4580      385
DST SYS INC DEL              COM            233326107        100,254     1,525       X        28-5284     1525
                                                              13,148       200       X      X 28-5284      200
                                                              28,268       430       X      X 28-4580      430
DTE ENERGY CO                COM            233331107        449,841    11,567       X        28-5284     9549              2018
                                                             207,323     5,331       X      X 28-5284     4951               380
                                                               6,767       174       X        28-4580      174
                                                              16,450       423       X      X 28-4580      423
DTF TAX-FREE INCOME INC      COM            23334J107         47,002     3,456       X        28-5284     2756               700
                                                              27,608     2,030       X      X 28-5284     2030
DSW INC                      CL A           23334L102          3,885       300       X      X 28-5284      300
DWS MULTI MKT INCOME TR      SHS            23338L108         42,600     5,325       X      X 28-5284     5325
DWS RREEF REAL ESTATE FD II  COM            23338X102         22,811     1,850       X        28-5284     1850
   COLUMN TOTAL                                            9,071,267







                                                                                                                    FILE NO. 28-1235
PAGE  67 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         61,790     3,450       X        28-5284     3450
                                                             227,457    12,700       X      X 28-5284     3275              9425
                                                              65,174     3,639       X        28-11135    3639
DANAHER CORP DEL             COM            235851102      9,647,827   126,895       X        28-5284   107856       660   18379
                                                           9,268,285   121,903       X      X 28-5284   103330      2300   16273
                                                              17,791       234       X        28-11135     234
                                                              30,412       400       X        28-4580      400
DARDEN RESTAURANTS INC       COM            237194105      1,745,461    53,624       X        28-5284    53624
                                                             619,492    19,032       X      X 28-5284    17775              1257
DARLING INTL INC             COM            237266101          3,704       286       X        28-5284      286
                                                              56,954     4,398       X        28-11135    4398
                                                               3,885       300       X        28-4580      300
DASSAULT SYS S A             SPONSORED ADR  237545108          3,247        56       X        28-5284       56
                                                               3,247        56       X      X 28-5284       56
DATASCOPE CORP               COM            238113104          4,143       100       X        28-5284                        100
                                                              23,822       575       X      X 28-5284      575
DAVITA INC                   COM            23918K108        144,904     3,034       X        28-5284     3034
                                                               4,776       100       X      X 28-5284      100
DAWSON GEOPHYSICAL CO        COM            239359102         19,373       287       X        28-5284      287
                                                             791,775    11,730       X      X 28-5284    11730
DAXOR CORP                   COM            239467103          7,998       600       X        28-5284      600
DAYSTAR TECHNOLOGIES INC     COM            23962Q100          2,960     1,000       X      X 28-5284     1000
DEAN FOODS CO NEW            COM            242370104        268,322    13,356       X        28-5284    13356
                                                              72,846     3,626       X      X 28-5284     3626
                                                              41,245     2,053       X        28-11135    2053
DECKERS OUTDOOR CORP         COM            243537107          3,127        29       X        28-5284       29
DECODE GENETICS INC          COM            243586104          2,295     1,500       X        28-5284     1500
DECORATOR INDS INC           COM PAR $0.20  243631207            367       100       X      X 28-5284      100
   COLUMN TOTAL                                           23,142,679







                                                                                                                    FILE NO. 28-1235
PAGE  68 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DEERE & CO                   COM            244199105      7,778,468    96,699       X        28-5284    94435              2264
                                                           6,233,778    77,496       X      X 28-5284    64511             12985
                                                             305,833     3,802       X        28-11135    3802
                                                              19,547       243       X        28-4580      243
DEERFIELD CAPITAL CORP       COM            244331104            216       153       X        28-5284      153
                                                               5,640     4,000       X      X 28-5284     4000
DEL MONTE FOODS CO           COM            24522P103      1,147,679   120,428       X        28-5284   111865              8563
                                                             656,064    68,842       X      X 28-5284    60813              8029
                                                              24,244     2,544       X        28-4580     2544
                                                               8,282       869       X      X 28-4580      869
DELAWARE INVTS DIV & INCOME  COM            245915103          8,325       900       X        28-5284      900
DELL INC                     COM            24702R101     33,114,211 1,662,360       X        28-5284  1541917            120443
                                                          13,549,664   680,204       X      X 28-5284   619982      7524   52698
                                                             132,886     6,671       X        28-11135    6671
                                                              60,756     3,050       X        28-4580     3050
                                                              81,672     4,100       X      X 28-4580     4100
DELPHI FINL GROUP INC        CL A           247131105         11,254       385       X        28-5284       45               340
                                                               8,769       300       X      X 28-5284                        300
                                                             154,802     5,296       X        28-11135    5296
DELTA AIR LINES INC DEL      COM NEW        247361702         23,074     2,683       X      X 28-5284               2683
DELTA NAT GAS INC            COM            247748106         39,504     1,600       X        28-5284     1600
                                                               8,642       350       X      X 28-5284      350
DELTIC TIMBER CORP           COM            247850100          5,013        90       X        28-5284                         90
DELTA PETE CORP              COM NEW        247907207      5,896,509   261,602       X        28-5284   261602
                                                               4,035       179       X        28-4580      179
DENBURY RES INC              COM NEW        247916208         21,127       740       X        28-5284      740
                                                              14,275       500       X      X 28-5284                        500
                                                              23,325       817       X        28-11135     817
DELUXE CORP                  COM            248019101         15,368       800       X        28-5284      300               500
DENISON MINES CORP           COM            248356107         17,455     2,775       X        28-5284     2775
   COLUMN TOTAL                                           69,370,417







                                                                                                                    FILE NO. 28-1235
PAGE  69 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DENTSPLY INTL INC NEW        COM            249030107      4,733,325   122,625       X        28-5284   120648              1977
                                                           3,587,600    92,943       X      X 28-5284    89784              3159
                                                              21,616       560       X        28-11135     560
                                                              12,352       320       X        28-4580      320
                                                              33,196       860       X      X 28-4580      860
DEUTSCHE TELEKOM AG          SPONSORED ADR  251566105         51,945     3,133       X        28-5284     3133
                                                           3,218,758   194,135       X      X 28-5284   194135
                                                              81,972     4,944       X        28-11135    4944
                                                               6,516       393       X        28-4580      393
DEVELOPERS DIVERSIFIED RLTY  COM            251591103      1,165,311    27,825       X        28-5284    27825
                                                             520,694    12,433       X      X 28-5284    12433
DEVON ENERGY CORP NEW        COM            25179M103     13,313,656   127,611       X        28-5284   115398             12213
                                                           5,190,730    49,753       X      X 28-5284    42165       979    6609
                                                               2,504        24       X        28-11135      24
                                                              98,801       947       X        28-4580      947
DEVRY INC DEL                COM            251893103        213,551     5,104       X        28-5284                       5104
                                                             397,606     9,503       X      X 28-5284     2403              7100
DIAGEO P L C                 SPON ADR NEW   25243Q205      1,030,650    12,674       X        28-5284     9694              2980
                                                           2,554,912    31,418       X      X 28-5284    22318              9100
                                                             173,049     2,128       X        28-11135    2128
                                                              23,989       295       X        28-4580      295
                                                             243,960     3,000       X      X 28-4580     3000
DIAMOND FOODS INC            COM            252603105         36,280     2,000       X      X 28-5284                       2000
DIAMOND OFFSHORE DRILLING IN COM            25271C102      4,384,672    37,669       X        28-5284    26407             11262
                                                           3,963,653    34,052       X      X 28-5284    28972              5080
                                                              23,280       200       X        28-4580      200
DIAMONDROCK HOSPITALITY CO   COM            252784301            988        78       X        28-5284       78
                                                                 887        70       X      X 28-5284       70
DIAMONDS TR                  UNIT SER 1     252787106     11,315,268    92,445       X        28-5284    89831              2614
                                                           8,278,646    67,636       X      X 28-5284    67617                19
                                                              82,742       676       X        28-4580      676
   COLUMN TOTAL                                           64,763,109







                                                                                                                    FILE NO. 28-1235
PAGE  70 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DICKS SPORTING GOODS INC     COM            253393102      2,635,232    98,403       X        28-5284    91301              7102
                                                           1,045,813    39,052       X      X 28-5284    38505               547
                                                              24,048       898       X        28-4580      898
DIEBOLD INC                  COM            253651103        228,492     6,085       X        28-5284     5285               800
                                                             122,601     3,265       X      X 28-5284     2230              1035
                                                               5,633       150       X      X 28-4580      150
DIGI INTL INC                COM            253798102          1,846       160       X        28-5284                        160
DIGITAL RLTY TR INC          COM            253868103        524,690    14,780       X        28-5284    14780
                                                              32,199       907       X      X 28-5284      907
DIGITAL RIV INC              COM            25388B104          1,641        53       X        28-11135      53
                                                             288,021     9,300       X        28-11439    9300
DIME CMNTY BANCSHARES        COM            253922108          2,972       170       X        28-5284                        170
DILLARDS INC                 CL A           254067101          2,754       160       X        28-4580      160
DIME BANCORP INC NEW         *W EXP 99/99/9 25429Q110            735     2,100       X        28-5284     2000               100
                                                                 765     2,187       X      X 28-5284               2187
DIODES INC                   COM            254543101          3,492       159       X        28-5284      159
                                                              50,025     2,278       X        28-11135    2278
DIONEX CORP                  COM            254546104         16,938       220       X        28-5284                        220
                                                             369,552     4,800       X      X 28-5284     4800
DIRECTV GROUP INC            COM            25459L106        386,228    15,580       X        28-5284    14809               771
                                                             347,234    14,007       X      X 28-5284    12391              1616
                                                             889,143    35,867       X        28-11135   35867
                                                               4,066       164       X        28-4580      164
                                                               4,586       185       X      X 28-4580      185
DISCOVERY LABORATORIES INC N COM            254668106         35,250    15,000       X        28-5284    15000
                                                              11,750     5,000       X      X 28-5284     5000
DISCOVERY HOLDING CO         CL A COM       25468Y107      3,191,446   150,398       X        28-5284   133255             17143
                                                           2,383,579   112,327       X      X 28-5284    92315             20012
                                                               1,889        89       X        28-11135      89
                                                              12,859       606       X        28-4580      606
   COLUMN TOTAL                                           12,625,479








                                                                                                                    FILE NO. 28-1235
PAGE  71 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DISNEY WALT CO               COM DISNEY     254687106     84,123,535 2,680,801       X        28-5284  2540903            139898
                                                          55,560,016 1,770,555       X      X 28-5284  1644525     15566  110464
                                                             396,643    12,640       X        28-11135   12640
                                                             963,084    30,691       X        28-4580    30471               220
                                                             523,575    16,685       X      X 28-4580    16685
DISH NETWORK CORP            CL A           25470M109      1,144,029    39,820       X        28-5284    37280              2540
                                                              82,829     2,883       X      X 28-5284     2863                20
                                                               1,867        65       X        28-11135      65
                                                               6,033       210       X      X 28-4580      210
DISCOVER FINL SVCS           COM            254709108      2,698,693   164,856       X        28-5284   139604             25252
                                                           2,556,241   156,154       X      X 28-5284   145123       256   10775
                                                             658,418    40,221       X        28-11135   40221
                                                               3,683       225       X        28-11439     225
                                                              12,278       750       X        28-4580      750
                                                              51,205     3,128       X      X 28-4580     3128
DISTRIBUTED ENERGY SYS CORP  COM            25475V104            405       900       X      X 28-5284      900
DITECH NETWORKS INC          COM            25500T108      3,412,417 1,160,686       X      X 28-5284            1160686
DR REDDYS LABS LTD           ADR            256135203         59,411     4,103       X        28-11135    4103
DOLBY LABORATORIES INC       COM            25659T107      3,985,808   109,923       X        28-5284   108324              1599
                                                             346,972     9,569       X      X 28-5284     9424               145
                                                              13,743       379       X        28-4580      379
DOLLAR TREE INC              COM            256746108         52,945     1,919       X        28-5284     1619               300
DOMINION RES BLACK WARRIOR T UNITS BEN INT  25746Q108          8,492       400       X        28-5284      400
                                                              40,337     1,900       X      X 28-5284     1500               400
DOMINION RES INC VA NEW      COM            25746U109     25,861,522   633,240       X        28-5284   619788             13452
                                                          25,563,961   625,954       X      X 28-5284   570705      2426   52823
                                                              65,099     1,594       X        28-11135    1594
                                                             297,315     7,280       X        28-4580     7280
                                                             920,860    22,548       X      X 28-4580    19048               3500
DOMINOS PIZZA INC            COM            25754A201          4,047       300       X      X 28-5284      300
   COLUMN TOTAL                                          209,415,463







                                                                                                                    FILE NO. 28-1235
PAGE  72 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DOMTAR CORP                  COM            257559104         87,929    12,874       X        28-5284    12874
                                                              27,177     3,979       X      X 28-5284     3979
                                                               2,172       318       X        28-4580      318
DONALDSON INC                COM            257651109      2,049,326    50,877       X        28-5284    50277               600
                                                           1,695,909    42,103       X      X 28-5284    15413             26690
                                                               1,047        26       X        28-11135      26
DONEGAL GROUP INC            CL A           257701201         76,351     4,388       X        28-5284     4388
DONEGAL GROUP INC            CL B           257701300         11,057       616       X        28-5284      616
DONNELLEY R R & SONS CO      COM            257867101      1,197,972    39,524       X        28-5284    34259              5265
                                                           1,331,670    43,935       X      X 28-5284    39380              4555
                                                             874,959    28,867       X        28-11135   28867
DORCHESTER MINERALS LP       COM UNIT       25820R105         21,000     1,000       X      X 28-5284     1000
DORMAN PRODUCTS INC          COM            258278100          4,300       400       X        28-5284      400
DOUBLE-TAKE SOFTWARE INC     COM            258598101          2,336       200       X      X 28-5284      200
DOUGLAS EMMETT INC           COM            25960P109        151,993     6,890       X        28-5284     6890
                                                               9,045       410       X      X 28-5284      410
DOVER CORP                   COM            260003108     23,679,275   566,761       X        28-5284   512326             54435
                                                           9,873,199   236,314       X      X 28-5284   194439      8000   33875
                                                             132,652     3,175       X        28-11135    3175
                                                             133,696     3,200       X        28-4580     3200
                                                              91,832     2,198       X      X 28-4580     2198
DOW CHEM CO                  COM            260543103     20,974,799   569,194       X        28-5284   519359             49835
                                                          26,284,479   713,283       X      X 28-5284   681104       100   32079
                                                             174,190     4,727       X        28-11135    4727
                                                             273,464     7,421       X        28-4580     7421
                                                              11,055       300       X      X 28-4580      300
DOW 30 COVERED CALL FD INC   COM            260582101         21,925     1,250       X      X 28-5284     1250
DOWNEY FINL CORP             COM            261018105          3,400       185       X        28-5284       25               160
                                                                 993        54       X      X 28-5284       54
DRESS BARN INC               COM            261570105          4,270       330       X        28-5284                        330
   COLUMN TOTAL                                           89,203,472







                                                                                                                    FILE NO. 28-1235
PAGE  73 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DRESSER-RAND GROUP INC       COM            261608103        424,350    13,800       X        28-5284     2600             11200
                                                             246,000     8,000       X      X 28-5284                       8000
DREYFUS STRATEGIC MUNS INC   COM            261932107         59,681     7,013       X        28-5284     7013
                                                                 953       112       X      X 28-5284      112
DREYFUS HIGH YIELD STRATEGIE SH BEN INT     26200S101         44,416    12,800       X      X 28-5284                      12800
DREYFUS STRATEGIC MUN BD FD  COM            26202F107         40,176     5,105       X      X 28-5284     5105
DRIL-QUIP INC                COM            262037104         14,406       310       X        28-5284      100               210
DU PONT E I DE NEMOURS & CO  COM            263534109     62,725,220 1,341,429       X        28-5284  1283412             58017
                                                          93,617,214 2,002,079       X      X 28-5284  1761574      2372  238133
                                                           1,011,512    21,632       X        28-11135   21632
                                                          14,505,326   310,208       X        28-4580   310208
                                                          12,987,730   277,753       X      X 28-4580   272387       472    4894
DUFF & PHELPS UTIL CORP BD T COM            26432K108         13,037     1,182       X        28-5284     1182
                                                             163,244    14,800       X      X 28-5284      600             14200
DUKE ENERGY CORP NEW         COM            26441C105      5,765,354   322,989       X        28-5284   316894              6095
                                                           7,803,931   437,195       X      X 28-5284   390957             46238
                                                              60,351     3,381       X        28-11135    3381
                                                              35,575     1,993       X        28-4580     1993
                                                             290,098    16,252       X      X 28-4580    16252
DUKE REALTY CORP             COM NEW        264411505      1,864,923    81,759       X        28-5284    76909       850    4000
                                                           3,449,602   151,232       X      X 28-5284   142757       500    7975
                                                               6,318       277       X        28-11135     277
                                                              18,248       800       X        28-4580      800
                                                              70,711     3,100       X      X 28-4580     3100
DUN & BRADSTREET CORP DEL NE COM            26483E100      1,132,240    13,913       X        28-5284    13313               600
                                                             493,244     6,061       X      X 28-5284     4098              1963
                                                              16,276       200       X      X 28-4580      200
DUNCAN ENERGY PARTNERS LP    COM UNITS      265026104         18,480     1,000       X      X 28-5284                       1000
DYNAMIC MATLS CORP           COM            267888105          8,640       200       X        28-5284      200
DYNAVAX TECHNOLOGIES CORP    COM            268158102          9,800     5,000       X        28-5284     5000
   COLUMN TOTAL                                          206,897,056







                                                                                                                    FILE NO. 28-1235
PAGE  74 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
DYNEGY INC DEL               CL A           26817G102         54,504     6,908       X        28-5284     1908              5000
                                                             151,015    19,140       X      X 28-5284    19140
                                                                  47         6       X      X 28-4580        6
E M C CORP MASS              COM            268648102     18,331,252 1,278,330       X        28-5284  1121715            156615
                                                           8,856,370   617,599       X      X 28-5284   542301             75298
                                                              44,683     3,116       X        28-11135    3116
                                                             128,343     8,950       X        28-4580     8950
                                                             111,852     7,800       X      X 28-4580     7800
EMC INS GROUP INC            COM            268664109          2,689       100       X        28-5284      100
                                                               5,378       200       X      X 28-5284      200
EMS TECHNOLOGIES INC         COM            26873N108         54,280     2,000       X        28-5284     2000
ENSCO INTL INC               COM            26874Q100        605,410     9,668       X        28-5284     9668
                                                             414,231     6,615       X      X 28-5284     5740       175     700
                                                               3,194        51       X        28-11135      51
ENI S P A                    SPONSORED ADR  26874R108        831,691    12,211       X        28-5284    12211
                                                               4,700        69       X      X 28-5284       69
                                                             370,246     5,436       X        28-11135    5436
                                                              67,225       987       X        28-4580      987
EOG RES INC                  COM            26875P101     29,830,560   248,588       X        28-5284   246713              1875
                                                          18,915,120   157,626       X      X 28-5284   153026       150    4450
                                                             572,160     4,768       X        28-4580     4768
                                                             112,800       940       X      X 28-4580      940
EPIQ SYS INC                 COM            26882D109        614,980    39,625       X        28-11135   39625
ERP OPER LTD PARTNERSHIP     NOTE  3.850% 8 26884AAV5      4,804,000     5,000       X        28-11439    5000
EAGLE BANCORP INC MD         COM            268948106          2,205       169       X      X 28-5284      169
ESS TECHNOLOGY INC           COM            269151106      1,043,150   695,433       X      X 28-5284             695433
E TRADE FINANCIAL CORP       COM            269246104            938       243       X        28-5284      243
                                                               4,632     1,200       X      X 28-5284     1200
EV3 INC                      COM            26928A200         16,280     2,000       X      X 28-5284     2000
   COLUMN TOTAL                                           85,953,935







                                                                                                                    FILE NO. 28-1235
PAGE  75 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
EAGLE MATERIALS INC          COM            26969P108          7,110       200       X        28-5284      200
                                                               8,141       229       X      X 28-5284       75               154
EARTHLINK INC                COM            270321102            755       100       X        28-5284      100
                                                              94,375    12,500       X      X 28-5284              12500
EAST WEST BANCORP INC        COM            27579R104         79,378     4,472       X        28-5284      592              3880
                                                             708,829    39,934       X      X 28-5284    10134             29800
                                                             366,289    20,636       X        28-11135   20636
EASTERN AMERN NAT GAS TR     SPERS RCT UNIT 276217106         84,150     3,000       X      X 28-5284     3000
EASTERN INS HLDGS INC        COM            276534104         10,873       750       X      X 28-5284      750
EASTGROUP PPTY INC           COM            277276101        385,386     8,295       X        28-5284     8295
                                                              19,978       430       X      X 28-5284      430
EASTMAN CHEM CO              COM            277432100        145,446     2,329       X        28-5284     2329
                                                             513,651     8,225       X      X 28-5284     5325              2900
EASTMAN KODAK CO             NOTE  3.375%10 277461BE8     22,172,000    23,000       X        28-11439   23000
EASTMAN KODAK CO             COM            277461109        684,253    38,724       X        28-5284    28502             10222
                                                             248,175    14,045       X      X 28-5284    13360               685
EATON CORP                   COM            278058102      5,167,556    64,862       X        28-5284    54000             10862
                                                           6,039,544    75,807       X      X 28-5284    66653              9154
                                                             214,950     2,698       X        28-11135    2698
EATON VANCE MUNI INCOME TRUS SH BEN INT     27826U108          9,478       700       X      X 28-5284      700
EATON VANCE NJ MUNI INCOME T SH BEN INT     27826V106         12,160     1,000       X        28-5284     1000
EATON VANCE CORP             COM NON VTG    278265103         96,107     3,150       X        28-5284     3150
                                                              30,510     1,000       X      X 28-5284     1000
                                                               1,037        34       X        28-11135      34
EATON VANCE INS MUN BD FD    COM            27827X101         31,679     2,412       X        28-5284     2412
                                                              78,804     6,000       X      X 28-5284     6000
EATON VANCE ENHANCED EQ INC  COM            278274105         12,782       741       X        28-5284      741
                                                              43,349     2,513       X      X 28-5284     2513
   COLUMN TOTAL                                           37,266,745







                                                                                                                    FILE NO. 28-1235
PAGE  76 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
EATON VANCE ENH EQTY INC FD  COM            278277108         20,460     1,200       X        28-5284     1200
EATON VANCE FLTING RATE INC  COM            278279104         28,280     2,000       X      X 28-5284     2000
EATON VANCE TAX ADVT DIV INC COM            27828G107        100,799     4,328       X        28-5284     4328
                                                              92,648     3,978       X      X 28-5284     3978
EATON VANCE LTD DUR INCOME F COM            27828H105         39,029     2,770       X        28-5284     2770
                                                              14,090     1,000       X      X 28-5284     1000
EATON VANCE TX MGD DIV EQ IN COM            27828N102         81,291     5,267       X        28-5284     5267
                                                              21,608     1,400       X        28-4580     1400
EATON VANCE TX ADV GLBL DIV  COM            27828S101         34,344     1,535       X        28-5284     1535
                                                             369,059    16,495       X      X 28-5284    16495
EATON VANCE INS PA MUN BD FD COM            27828W102         77,699     5,610       X        28-5284     5610
                                                              86,382     6,237       X      X 28-5284     6237
EATON VANCE TAX MNGED BUY WR COM            27828X100          8,135       500       X        28-5284      500
EATON VANCE TX MNG BY WRT OP COM            27828Y108        110,388     6,947       X        28-5284     6947
                                                               9,534       600       X      X 28-5284      600
EATON VANCE TXMGD GL BUYWR O COM            27829C105         14,310       900       X        28-5284      900
EATON VANCE TAX MNG GBL DV E COM            27829F108        115,933     7,389       X        28-5284     7389
                                                              31,380     2,000       X      X 28-5284     2000
EBAY INC                     COM            278642103      7,633,102   255,801       X        28-5284   212063             43738
                                                           5,364,635   179,780       X      X 28-5284   151880       350   27550
                                                             617,807    20,704       X        28-11135   20704
                                                              62,664     2,100       X        28-4580     2100
                                                              19,396       650       X      X 28-4580      650
ECHELON CORP                 COM            27874N105         20,250     1,500       X        28-5284     1500
ECHOSTAR CORP                CL A           278768106          3,338       113       X        28-5284      113
                                                                 768        26       X      X 28-5284       26
                                                                 384        13       X        28-11135      13
                                                               1,241        42       X      X 28-4580       42
   COLUMN TOTAL                                           14,978,954







                                                                                                                    FILE NO. 28-1235
PAGE  77 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ECOLAB INC                   COM            278865100      4,806,528   110,673       X        28-5284    91203             19470
                                                           2,112,218    48,635       X      X 28-5284    29305             19330
                                                               1,086        25       X        28-11135      25
                                                              21,715       500       X        28-4580      500
                                                              19,544       450       X      X 28-4580      450
EDEN BIOSCIENCE CORP         COM PAR $.0025 279445878         50,772    44,931       X      X 28-5284              44931
EDGEWATER TECHNOLOGY INC     COM            280358102        399,010    76,147       X      X 28-5284              76147
EDISON INTL                  COM            281020107        573,583    11,701       X        28-5284     8832              2869
                                                             494,318    10,084       X      X 28-5284     9534               550
                                                              89,952     1,835       X        28-11135    1835
EDUCATION RLTY TR INC        COM            28140H104          6,888       548       X        28-5284      548
EDWARDS LIFESCIENCES CORP    COM            28176E108        118,770     2,666       X        28-5284     2309               357
                                                              55,554     1,247       X      X 28-5284      957               290
EL PASO CORP                 COM            28336L109         73,366     4,409       X        28-5284     4409
                                                             332,035    19,954       X      X 28-5284    16954              3000
EL PASO ELEC CO              COM NEW        283677854          6,838       320       X        28-5284                        320
                                                              83,535     3,909       X        28-11135    3909
EL PASO ENERGY CAP TR I      PFD CV TR SECS 283678209          7,280       200       X        28-5284      200
ELAN PLC                     ADR            284131208        127,976     6,135       X        28-5284     6135
                                                              13,559       650       X      X 28-5284      650
ELDORADO GOLD CORP NEW       COM            284902103          2,046       300       X      X 28-5284      300
ELECTRO SCIENTIFIC INDS      COM            285229100          3,626       220       X        28-5284                        220
ELECTRONIC ARTS INC          COM            285512109      1,907,942    38,220       X        28-5284    35045              3175
                                                           1,850,085    37,061       X      X 28-5284    26107       150   10804
                                                               9,734       195       X        28-11135     195
                                                              32,448       650       X        28-4580      650
ELECTRONIC DATA SYS NEW      COM            285661104        440,892    26,480       X        28-5284    15277             11203
                                                             380,869    22,875       X      X 28-5284    22155               720
                                                              23,027     1,383       X        28-4580     1383
                                                               6,910       415       X      X 28-4580      415
   COLUMN TOTAL                                           14,052,106







                                                                                                                    FILE NO. 28-1235
PAGE  78 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ELECTRONICS FOR IMAGING INC  COM            286082102         26,856     1,800       X        28-5284     1800
EMBARQ CORP                  COM            29078E105         49,323     1,230       X        28-5284     1177                53
                                                             420,769    10,493       X      X 28-5284    10045       153     295
                                                              51,087     1,274       X        28-11135    1274
                                                               1,845        46       X      X 28-4580       46
EMBRAER-EMPRESA BRASILEIRA D SP ADR COM SHS 29081M102         85,737     2,170       X        28-5284     2170
                                                             136,310     3,450       X      X 28-5284     3450
EMCOR GROUP INC              COM            29084Q100         10,661       480       X        28-5284                        480
                                                             205,731     9,263       X        28-11135    9263
EMERGING MKTS TELECOMNC FD N COM            290890102         15,399       699       X        28-5284      699
                                                               4,384       199       X      X 28-5284      199
EMERSON ELEC CO              COM            291011104     68,537,361 1,331,857       X        28-5284  1241887             89970
                                                          76,933,523 1,495,016       X      X 28-5284  1370375     11425  113216
                                                             150,418     2,923       X        28-11135    2923
                                                           1,464,603    28,461       X        28-4580    26861              1600
                                                           2,158,696    41,949       X      X 28-4580    40531      1418
EMERSON RADIO CORP           COM NEW        291087203        994,676   864,936       X      X 28-5284             864936
EMPIRE DIST ELEC CO          COM            291641108          8,100       400       X      X 28-5284      300               100
EMPLOYERS HOLDINGS INC       COM            292218104          1,409        76       X        28-5284       76
EMULEX CORP                  COM NEW        292475209          4,872       300       X      X 28-5284      300
ENBRIDGE INC                 COM            29250N105         20,580       500       X      X 28-5284      500
                                                               2,223        54       X      X 28-4580       54
ENBRIDGE ENERGY PARTNERS L P COM            29250R106        719,907    15,140       X        28-5284    15140
                                                           2,629,515    55,300       X      X 28-5284    53100              2200
ENCANA CORP                  COM            292505104      1,211,318    15,991       X        28-5284    15991
                                                           2,491,872    32,896       X      X 28-5284    24196              8700
                                                               4,848        64       X        28-11135      64
                                                             249,672     3,296       X      X 28-4580     3296
ENCYSIVE PHARMACEUTICALS INC COM            29256X107          2,350     1,000       X      X 28-5284                       1000
   COLUMN TOTAL                                          158,594,045







                                                                                                                    FILE NO. 28-1235
PAGE  79 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ENCORE WIRE CORP             COM            292562105         10,926       600       X        28-5284      600

ENDO PHARMACEUTICALS HLDGS I COM            29264F205         10,127       423       X      X 28-5284      423

ENERGEN CORP                 COM            29265N108         38,377       616       X        28-5284      616
                                                               8,411       135       X      X 28-5284      135
                                                             402,458     6,460       X        28-11135    6460

ENERGY CONVERSION DEVICES IN COM            292659109          2,990       100       X        28-5284      100

ENERGY EAST CORP             COM            29266M109        216,260     8,966       X        28-5284     6666                2300
                                                             326,850    13,551       X      X 28-5284    13551

ENERGIZER HLDGS INC          COM            29266R108        196,070     2,167       X        28-5284     2167
                                                             900,276     9,950       X      X 28-5284     9950

ENERGY TRANSFER PRTNRS L P   UNIT LTD PARTN 29273R109        171,263     3,750       X        28-5284     3750
                                                             150,711     3,300       X      X 28-5284     3300

ENERPLUS RES FD              UNIT TR G NEW  29274D604        808,672    18,633       X        28-5284     9183                9450
                                                           1,742,510    40,150       X      X 28-5284    39100                1050
                                                               1,823        42       X      X 28-4580       42

ENERSIS S A                  SPONSORED ADR  29274F104         17,680     1,000       X      X 28-5284     1000
                                                             163,593     9,253       X        28-11135    9253

ENERGYSOUTH INC              COM            292970100          5,219       100       X        28-5284      100

ENNIS INC                    COM            293389102         20,136     1,200       X        28-5284     1200

ENTEGRIS INC                 COM            29362U104         11,705     1,628       X      X 28-5284     1628

ENTERCOM COMMUNICATIONS CORP CL A           293639100         30,723     3,094       X        28-11135    3094

ENTERGY CORP NEW             COM            29364G103     11,356,755   104,114       X        28-5284    99759                4355
                                                           7,656,980    70,196       X      X 28-5284    69772                 424
                                                             222,305     2,038       X        28-4580     2038
                                                              76,356       700       X      X 28-4580      150                 550

ENTERPRISE GP HLDGS L P      UNIT LP INT    293716106         14,940       500       X      X 28-5284      500
   COLUMN TOTAL                                           24,564,116







                                                                                                                    FILE NO. 28-1235
PAGE  80 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ENTERPRISE PRODS PARTNERS L  COM            293792107        216,780     7,299       X        28-5284     5499              1800
                                                             752,925    25,351       X      X 28-5284    18801      5250    1300
                                                               2,703        91       X        28-4580       91
                                                               8,049       271       X      X 28-4580      271

ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105        478,748     9,705       X        28-5284     9635                70
                                                             505,830    10,254       X      X 28-5284     9954               300

ENTREMED INC                 COM            29382F103            690     1,000       X      X 28-5284                       1000

ENTERTAINMENT DIST CO INC    COM            29382J105            765     1,500       X        28-5284     1500
                                                                 105       205       X      X 28-5284                        205

ENZO BIOCHEM INC             COM            294100102          1,900       209       X        28-5284                        209

EQUIFAX INC                  COM            294429105        258,152     7,487       X        28-5284     7487
                                                             292,804     8,492       X      X 28-5284     6992              1500

EQUITABLE RES INC            COM            294549100     63,392,480 1,076,273       X        28-5284  1068557              7716
                                                           7,543,618   128,075       X      X 28-5284   112351       115   15609
                                                              17,965       305       X        28-11135     305
                                                             167,040     2,836       X      X 28-4580     2836

EQUITY INCOME FD             UT 1 EX SR-ATT 294700703        165,750     1,500       X        28-5284     1500
                                                              66,300       600       X      X 28-5284      600

EQUITY MEDIA HLDGS CORP      COM            294725106        549,214   339,021       X      X 28-5284             339021

EQUITY MEDIA HLDGS CORP      *W EXP 08/26/2 294725114          2,768    34,600       X      X 28-5284              34600

EQUITY ONE                   COM            294752100         49,786     2,077       X        28-5284     2077
                                                             231,694     9,666       X      X 28-5284     9666

EQUITY RESIDENTIAL           SH BEN INT     29476L107        620,856    14,964       X        28-5284    14564               400
                                                             318,228     7,670       X      X 28-5284     5470              2200
                                                               3,153        76       X        28-11135      76
                                                               3,693        89       X      X 28-4580       89

EQUITY RESIDENTIAL           PFD CONV E 7%  29476L883         13,998       300       X      X 28-5284      300
   COLUMN TOTAL                                           75,665,994







                                                                                                                    FILE NO. 28-1235
PAGE  81 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         40,793     2,076       X        28-5284     2076
                                                               5,188       264       X      X 28-5284       64               200
                                                             235,938    12,007       X        28-11135   12007
                                                               8,450       430       X        28-4580      430
ERIE INDTY CO                CL A           29530P102      4,796,247    93,695       X        28-5284    93695
                                                             681,595    13,315       X      X 28-5284    13315
ESCALADE INC                 COM            296056104         26,970     3,000       X        28-5284     3000
ESCO TECHNOLOGIES INC        COM            296315104         11,916       300       X        28-5284      300
ESSA BANCORP INC             COM            29667D104        182,125    15,500       X        28-5284    15500
ESSEX PPTY TR INC            COM            297178105        468,458     4,110       X        28-5284     4110
                                                              33,282       292       X      X 28-5284      292
ESTERLINE TECHNOLOGIES CORP  COM            297425100         11,081       220       X        28-5284                        220
                                                             200,674     3,984       X      X 28-5284     3984
                                                               3,425        68       X        28-11135      68
ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR  29759W101         27,767       353       X        28-5284      353
ETHAN ALLEN INTERIORS INC    COM            297602104          6,539       230       X        28-5284                        230
                                                               8,529       300       X      X 28-5284      300
                                                             428,639    15,077       X        28-11135   15077
                                                              34,116     1,200       X        28-4580     1200
EVERGREEN INCOME ADVANTAGE F COM SHS        30023Y105         10,540     1,000       X        28-5284     1000
                                                              49,538     4,700       X      X 28-5284     3500              1200
EVERGREEN ENERGY INC         COM            30024B104          5,544     3,600       X        28-5284     3600
EVERGREEN GBL DIVID OPP FUND COM            30024H101         64,242     4,150       X        28-5284     4150
EVERGREEN MULTI SECT INC FUN COM SHS        30024Y104        247,432    15,700       X      X 28-5284                      15700
EVERGREEN SOLAR INC          COM            30033R108          1,854       200       X        28-5284      200
                                                              18,290     1,973       X      X 28-5284     1973
EVERGREEN UTLS & HIGH INCM F COM            30034Q109         34,875     1,500       X        28-5284     1500
EXACT SCIENCES CORP          COM            30063P105          1,455       500       X        28-5284      500
   COLUMN TOTAL                                            7,645,502







                                                                                                                    FILE NO. 28-1235
PAGE  82 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
EXAR CORP                    COM            300645108          2,304       280       X        28-5284                        280
EXCEL TECHNOLOGY INC         COM            30067T103            189         7       X        28-11135       7
EXELON CORP                  COM            30161N101     73,310,579   902,062       X        28-5284   864408             37654
                                                          52,147,952   641,663       X      X 28-5284   572386      7602   61675
                                                           2,162,513    26,609       X        28-4580    26064               545
                                                           1,638,078    20,156       X      X 28-4580    20156
EXPEDIA INC DEL              COM            30212P105            700        32       X      X 28-5284       32
                                                               9,829       449       X        28-11135     449
EXPEDITORS INTL WASH INC     COM            302130109      1,184,213    26,211       X        28-5284    22098              4113
                                                           1,124,078    24,880       X      X 28-5284     8480             16400
                                                               5,105       113       X        28-11135     113
                                                              46,987     1,040       X      X 28-4580     1040
EXPRESSJET HOLDINGS INC      NOTE  4.250% 8 30218UAB4        948,750    10,000       X        28-4580    10000
EXPRESSJET HOLDINGS INC      CL A           30218U108          2,630     1,000       X      X 28-5284     1000
EXPRESS SCRIPTS INC          COM            302182100        734,406    11,418       X        28-5284     6054              5364
                                                             419,881     6,528       X      X 28-5284     3728              2800
                                                             869,992    13,526       X        28-11135   13526
                                                              37,884       589       X        28-4580      589
EXTRA SPACE STORAGE INC      COM            30225T102            923        57       X        28-5284       57
                                                                 372        23       X      X 28-5284       23
EXTERRAN HLDGS INC           COM            30225X103         35,884       556       X        28-5284      556
EZCORP INC                   CL A NON VTG   302301106          4,038       328       X        28-5284      328
                                                             133,120    10,814       X      X 28-5284    10814
EXXON MOBIL CORP             COM            30231G102    794,902,716 9,398,235       X        28-5284  8917030      2640  478565
                                                         839,777,481 9,928,795       X      X 28-5284  8943941     40856  943998
                                                             754,538     8,921       X        28-11135    8921
                                                          23,195,811   274,247       X        28-4580   273594               653
                                                          64,052,265   757,298       X      X 28-4580   748612      1000    7686
FBL FINL GROUP INC           CL A           30239F106         13,333       468       X        28-5284                        468
                                                              75,755     2,659       X        28-11135    2659
   COLUMN TOTAL                                        1,857,592,306







                                                                                                                    FILE NO. 28-1235
PAGE  83 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FLIR SYS INC                 COM            302445101         59,398     1,974       X        28-5284     1974
                                                           1,230,320    40,888       X      X 28-5284    26888             14000
FBR CAPITAL MARKETS CORP     COM            30247C301            459        68       X        28-5284       68
FMC TECHNOLOGIES INC         COM            30249U101      2,261,207    39,747       X        28-5284    27588             12159
                                                           1,477,547    25,972       X      X 28-5284    25972
                                                             168,622     2,964       X        28-11135    2964
F M C CORP                   COM NEW        302491303         42,727       770       X        28-5284      770
                                                              36,069       650       X      X 28-5284      650
FNB CORP PA                  COM            302520101        737,229    47,228       X        28-5284    47228
                                                             544,805    34,901       X      X 28-5284    30201              4700
FPIC INS GROUP INC           COM            302563101         67,834     1,439       X        28-11135    1439
FPL GROUP INC                COM            302571104     52,779,335   841,239       X        28-5284   823834             17405
                                                          51,712,629   824,237       X      X 28-5284   785616      7959   30662
                                                              76,041     1,212       X        28-11135    1212
                                                           1,474,955    23,509       X        28-4580    23509
                                                           1,250,408    19,930       X      X 28-4580    18130              1800
FTD GROUP INC                COM            30267U108         47,279     3,523       X        28-11135    3523
FX ENERGY INC                COM            302695101         25,560     6,000       X        28-4580     6000
FTI CONSULTING INC           COM            302941109         53,990       760       X      X 28-5284      760
FACTSET RESH SYS INC         COM            303075105     18,167,334   337,244       X        28-5284   322386             14858
                                                           8,969,624   166,505       X      X 28-5284   159895      3007    3603
                                                              96,697     1,795       X        28-11135    1795
                                                             473,625     8,792       X        28-4580     8630               162
                                                              89,263     1,657       X      X 28-4580     1657
FAIR ISAAC CORP              COM            303250104        130,906     6,083       X        28-5284     6083
                                                              57,028     2,650       X      X 28-5284     1150              1500
                                                             258,175    11,997       X        28-11135   11997
FAIRCHILD SEMICONDUCTOR INTL COM            303726103         30,992     2,600       X      X 28-5284     2600
                                                                 715        60       X        28-11135      60
FAIRPOINT COMMUNICATIONS INC COM            305560104         16,011     1,775       X      X 28-5284     1775
   COLUMN TOTAL                                          142,336,784







                                                                                                                    FILE NO. 28-1235
PAGE  84 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FAMILY DLR STORES INC        COM            307000109        245,096    12,569       X        28-5284     7867              4702
                                                              85,800     4,400       X      X 28-5284     4400
FARMERS CAP BK CORP          COM            309562106         91,162     3,800       X        28-5284     3800
FASTENAL CO                  COM            311900104        447,588     9,745       X        28-5284     8305      1340     100
                                                           4,322,013    94,100       X      X 28-5284    29550             64550
FAUQUIER BANKSHARES INC VA   COM            312059108        311,040    17,280       X      X 28-5284    17280
FEDERAL HOME LN MTG CORP     COM            313400301      1,709,227    67,505       X        28-5284    59055              8450
                                                           1,148,642    45,365       X      X 28-5284    28115      6400   10850
                                                              13,546       535       X        28-4580      535
                                                              38,107     1,505       X      X 28-4580     1505
FEDERAL NATL MTG ASSN        COM            313586109      7,050,049   267,859       X        28-5284   255124             12735
                                                           5,019,224   190,700       X      X 28-5284   172783             17917
                                                               6,712       255       X        28-11135     255
                                                              65,616     2,493       X        28-4580     2493
                                                              10,528       400       X      X 28-4580      400
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206      1,378,390    17,683       X        28-5284    17683
                                                           2,267,955    29,095       X      X 28-5284    27495              1600
FEDERATED INVS INC PA        CL B           314211103         11,513       294       X        28-5284      294
                                                               5,874       150       X      X 28-5284      150
                                                               3,329        85       X        28-11135      85
FEDERATED PREM MUN INC FD    COM            31423P108        185,594    13,410       X        28-5284    13410
FEDEX CORP                   COM            31428X106     11,077,123   119,533       X        28-5284   103991             15542
                                                           2,384,677    25,733       X      X 28-5284    20798              4935
                                                             788,529     8,509       X        28-11135    8509
                                                             447,781     4,832       X        28-4580     4742                90
                                                              30,210       326       X      X 28-4580      326
FELCOR LODGING TR INC        COM            31430F101         12,030     1,000       X      X 28-5284     1000
FELCOR LODGING TR INC        PFD CV A $1.95 31430F200         19,650     1,000       X      X 28-5284     1000
FELDMAN MALL PPTYS INC       COM            314308107          5,633     2,175       X        28-5284     2175
                                                               2,590     1,000       X      X 28-5284     1000
   COLUMN TOTAL                                           39,185,228







                                                                                                                    FILE NO. 28-1235
PAGE  85 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                      ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:      VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS          (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- --------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V   (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- -------- --------- -------
                                                                                            
FERRELLGAS PARTNERS L.P.     UNIT LTD PART  315293100         42,180     2,000       X        28-5284      2000
                                                              75,924     3,600       X      X 28-5284      3600
FIBERTOWER CORP              NOTE  9.000%11 31567RAC4     40,187,500   500,000       X      X 28-5284              500000
FIBERTOWER CORP              COM            31567R100        138,039    78,431       X      X 28-5284               78431
FIDELITY BANCORP INC         COM            315831107         19,493     1,426       X        28-5284      1426
FIDELITY COMWLTH TR          NDQ CP IDX TRK 315912808        314,832     3,522       X        28-5284      3522
FIDELITY NATL INFORMATION SV COM            31620M106        176,283     4,622       X        28-5284      4622
                                                           3,505,524    91,912       X      X 28-5284     91912
                                                              15,790       414       X        28-11135      414
FIDELITY NATIONAL FINANCIAL  CL A           31620R105      3,565,753   194,531       X        28-5284    167669             26862
                                                           3,921,997   213,966       X      X 28-5284    208356              5610
FIFTH THIRD BANCORP          COM            316773100     10,482,154   501,059       X        28-5284    459143             41916
                                                           4,642,755   221,929       X      X 28-5284    203554     12000    6375
                                                              12,029       575       X        28-4580       575
FINANCIAL FED CORP           COM            317492106          4,362       200       X        28-5284                         200
                                                              53,456     2,451       X        28-11135     2451
FINISAR                      COM            31787A101     20,136,50015,731,641       X        28-5284  15731641
FINLAY ENTERPRISES INC       COM NEW        317884203          1,344     2,100       X        28-5284      2100
FINISH LINE INC              CL A           317923100          1,242       261       X        28-5284       261
FIRST AMERN CORP CALIF       COM            318522307         96,254     2,836       X        28-5284      2836
FIRST BANCORP P R            COM            318672102          5,588       550       X        28-5284                         550
                                                                 671        66       X        28-11135       66
FIRST CASH FINL SVCS INC     COM            31942D107         16,745     1,621       X      X 28-5284      1621
FIRST CAPITAL INC            COM            31942S104         21,336     1,313       X        28-5284      1313
FIRST CTZNS BANCSHARES INC N CL A           31946M103        135,588       973       X        28-5284       973
   COLUMN TOTAL                                           87,573,339







                                                                                                                    FILE NO. 28-1235
PAGE  86 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FIRST COMWLTH FINL CORP PA   COM            319829107        349,751    30,177       X        28-5284    30177
                                                             301,989    26,056       X      X 28-5284    22356              3700
FIRST FINL SVC CORP          COM            32022D108         36,300     1,522       X        28-5284     1522
                                                              54,473     2,284       X      X 28-5284     2284
FIRST FRANKLIN CORP          COM            320272107        142,406    16,275       X        28-5284                      16275
                                                             148,750    17,000       X      X 28-5284    17000
FIRST HORIZON NATL CORP      COM            320517105        328,535    23,450       X        28-5284    23450
                                                              63,746     4,550       X      X 28-5284     4550
1ST INDEPENDENCE FINL GRP IN COM            32053S107         25,911     1,484       X        28-5284     1484
FIRST INDUSTRIAL REALTY TRUS COM            32054K103         55,911     1,810       X        28-5284     1810
                                                             239,089     7,740       X      X 28-5284     7740
                                                              54,027     1,749       X        28-11135    1749
FIRST ISRAEL FD INC          COM            32063L100         81,900     3,750       X        28-5284      500              3250
FIRST MARBLEHEAD CORP        COM            320771108          3,320       445       X        28-5284      435                10
FIRST MARINER BANCORP        COM            320795107          6,000     1,000       X        28-5284                       1000
                                                              30,000     5,000       X      X 28-5284                       5000
FIRST MERCHANTS CORP         COM            320817109          3,225       113       X        28-5284      113
FIRST MIDWEST BANCORP DEL    COM            320867104         10,830       390       X        28-5284                        390
FIRST NIAGARA FINL GP INC    COM            33582V108         24,462     1,800       X        28-5284     1800
FIRST POTOMAC RLTY TR        COM            33610F109         31,509     2,050       X        28-5284     2050
                                                              15,370     1,000       X      X 28-5284     1000
FIRST SOLAR INC              COM            336433107         85,522       370       X        28-5284      370
                                                              45,303       196       X      X 28-5284      196
                                                             254,254     1,100       X        28-11439    1100
FIRST TR MORNINGSTAR DIV LEA SHS            336917109         11,629       650       X      X 28-4580      650
FIRST TR ISE CHINDIA INDEX F COM            33733A102         13,600       668       X        28-5284      668
FIRST TR EXCHANGE TRADED FD  AMEX BIOTECH   33733E203         10,374       455       X        28-4580      455
   COLUMN TOTAL                                            2,428,186







                                                                                                                    FILE NO. 28-1235
PAGE  87 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FIRST TR FOUR CRNRS SR FLT R COM SHS        33733Q107         33,250     2,500       X        28-5284     2500
FIRST TR/FOUR CRNRS SR FLOAT COM            33733U108         14,386     1,057       X      X 28-5284     1057
FIRST TRUST FIDAC MTG INCM F COM SHS        33734E103        425,880    25,200       X      X 28-5284                      25200
FIRST TR VALUE LINE DIVID IN SHS            33734H106        114,342     7,837       X        28-5284     7837
FIRST TR STRTGC HIGH INCM FD COM            337347108          5,494       505       X        28-5284      505
FIRST UTD CORP               COM            33741H107         80,448     4,093       X        28-5284     4093
FIRSTSERVICE CORP            SUB VTG SH     33761N109         47,674     2,200       X      X 28-5284     2200
FIRSTCITY FINL CORP          COM            33761X107         32,250     5,000       X        28-4580                       5000
FISERV INC                   COM            337738108      2,141,640    44,534       X        28-5284    43919               615
                                                           1,862,093    38,721       X      X 28-5284    26260             12461
                                                              16,062       334       X        28-11135     334
                                                              48,090     1,000       X        28-4580     1000
                                                               9,618       200       X      X 28-4580      200
FIRSTFED FINL CORP           COM            337907109          3,258       120       X        28-5284                        120
FIRSTMERIT CORP              COM            337915102      1,045,396    50,600       X        28-5284    50600
FLAGSTAR BANCORP INC         COM            337930101         10,830     1,500       X      X 28-5284     1500
FIRSTENERGY CORP             COM            337932107     26,422,337   385,053       X        28-5284   367252             17801
                                                           9,210,176   134,220       X      X 28-5284   122037      2807    9376
                                                               3,911        57       X        28-11135      57
                                                             301,310     4,391       X        28-4580     4391
                                                             233,308     3,400       X      X 28-4580     3400
FIVE STAR QUALITY CARE INC   COM            33832D106          9,525     1,500       X      X 28-5284     1500
FLAHERTY & CRMN/CLYMR PFD SE COM SHS        338478100         37,397     2,520       X      X 28-5284     2520
FLAHERTY & CRUMRINE PFD INC  COM            33848E106         36,869     4,056       X        28-5284     4056
FLAHERTY & CRUMRINE PFD INC  COM            338480106          9,162       900       X      X 28-5284      900
   COLUMN TOTAL                                           42,154,706







                                                                                                                    FILE NO. 28-1235
PAGE  88 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FLEETWOOD ENTERPRISES INC    COM            339099103          1,886       410       X        28-5284                        410
FLOTEK INDS INC DEL          COM            343389102         11,672       800       X        28-5284      800
                                                               7,295       500       X      X 28-5284      500
FLUOR CORP NEW               COM            343412102        229,950     1,629       X        28-5284     1629
                                                             812,093     5,753       X      X 28-5284     4828               925
                                                              98,671       699       X        28-11135     699
                                                             141,160     1,000       X        28-4580     1000
                                                              31,761       225       X      X 28-4580      225
FLOWERS FOODS INC            COM            343498101         17,597       711       X        28-11135     711
FLOWSERVE CORP               COM            34354P105         16,805       161       X        28-5284      161
                                                           1,508,291    14,450       X      X 28-5284    14450
                                                              23,277       223       X        28-11135     223
FOCUS MEDIA HLDG LTD         SPONSORED ADR  34415V109         18,032       513       X        28-5284      513
                                                              81,267     2,312       X      X 28-5284     2312
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS 344419106          4,387       105       X        28-5284      105
FOOT LOCKER INC              COM            344849104            589        50       X        28-5284       50
                                                             294,250    25,000       X      X 28-5284    25000
FORCE PROTECTION INC         COM NEW        345203202          1,005       500       X        28-5284      500
                                                               2,010     1,000       X      X 28-5284                       1000
FORD MTR CO DEL              COM PAR $0.01  345370860        220,186    38,494       X        28-5284    38494
                                                             424,104    74,144       X      X 28-5284    61404             12740
                                                              21,027     3,676       X        28-4580     3676
                                                               6,292     1,100       X      X 28-4580      100              1000
FORD MTR CO CAP TR II        PFD TR CV6.5%  345395206         35,574     1,210       X        28-5284     1210
                                                              18,522       630       X      X 28-5284      630
FORDING CDN COAL TR          TR UNIT        345425102        110,455     2,116       X        28-5284     1116              1000
                                                             428,040     8,200       X      X 28-5284     8200
FOREST CITY ENTERPRISES INC  CL A           345550107         62,560     1,700       X        28-5284     1700
                                                           1,840,000    50,000       X      X 28-5284    50000
                                                              34,960       950       X        28-4580                        950
   COLUMN TOTAL                                            6,503,718







                                                                                                                    FILE NO. 28-1235
PAGE  89 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FOREST CITY ENTERPRISES INC  CL B CONV      345550305         28,792       800       X      X 28-5284      800
FOREST LABS INC              COM            345838106        357,289     8,930       X        28-5284     6057              2873
                                                             371,893     9,295       X      X 28-5284     9295
                                                             372,173     9,302       X        28-11135    9302
FOREST OIL CORP              COM PAR $0.01  346091705      1,302,336    26,600       X      X 28-5284    26600
                                                              88,813     1,814       X        28-11135    1814
FORESTAR REAL ESTATE GROUP I COM            346233109         18,558       745       X        28-5284      745
FORMFACTOR INC               COM            346375108         64,940     3,400       X      X 28-5284     3400
FORRESTER RESH INC           COM            346563109          2,791       105       X        28-11135     105
FORT DEARBORN INCOME SECS IN COM            347200107         41,615     2,900       X      X 28-5284                       2900
FORTRESS INVESTMENT GROUP LL CL A           34958B106          7,368       600       X      X 28-5284      600
FORTRESS INTL GROUP INC      *W EXP 07/12/2 34958D110        157,477   384,091       X      X 28-5284             384091
FORTUNE BRANDS INC           COM            349631101     19,695,466   283,388       X        28-5284   273948        90    9350
                                                          27,322,049   393,123       X      X 28-5284   332053       550   60520
                                                             146,576     2,109       X        28-11135    2109
                                                             159,850     2,300       X        28-4580     2300
                                                             329,222     4,737       X      X 28-4580     4737
40 / 86 STRATEGIC INCOME FD  SH BEN INT     349739102         45,749     5,500       X      X 28-5284                       5500
FORWARD AIR CORP             COM            349853101          7,974       225       X        28-5284                        225
                                                             625,551    17,651       X        28-11135   17651
FOSSIL INC                   COM            349882100         67,616     2,214       X        28-5284      249              1965
                                                               9,712       318       X      X 28-5284      318
FOSTER L B CO                COM            350060109          4,306       100       X        28-5284      100
FOUNDATION COAL HLDGS INC    COM            35039W100         35,231       700       X        28-5284      700
FOUNDRY NETWORKS INC         COM            35063R100          1,089        94       X        28-5284       94
4 KIDS ENTMT INC             COM            350865101            879        90       X        28-5284                         90
   COLUMN TOTAL                                           51,265,315







                                                                                                                    FILE NO. 28-1235
PAGE  90 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
FRANCE TELECOM               SPONSORED ADR  35177Q105        317,868     9,466       X        28-5284     9466
                                                               2,351        70       X      X 28-5284       70
FRANKLIN CR MGMT CORP        COM NEW        353487200            297       300       X        28-5284      300
FRANKLIN RES INC             COM            354613101     31,620,583   326,019       X        28-5284   307118             18901
                                                          12,674,944   130,683       X      X 28-5284   122433      1612    6638
                                                             110,472     1,139       X        28-11135    1139
                                                             590,184     6,085       X        28-4580     6005                80
                                                              53,345       550       X      X 28-4580      550
FRANKLIN STREET PPTYS CORP   COM            35471R106         25,776     1,800       X      X 28-5284     1800
FRANKLIN TEMPLETON LTD DUR I COM            35472T101         41,572     3,800       X      X 28-5284                       3800
FREDS INC                    CL A           356108100          2,563       250       X        28-5284                        250
FREEPORT-MCMORAN COPPER & GO PFD CONV       35671D782         12,641        90       X      X 28-5284       90
                                                          10,546,500    75,000       X        28-11439   75000
FREEPORT-MCMORAN COPPER & GO COM            35671D857      7,156,170    74,373       X        28-5284    64464              9909
                                                           3,038,050    31,574       X      X 28-5284    28651        60    2863
                                                             569,141     5,915       X        28-11135    5915
                                                             160,784     1,671       X        28-4580     1671
                                                             549,897     5,715       X      X 28-4580     5715
FREMONT GEN CORP             COM            357288109            240       500       X      X 28-5284      500
                                                              67,152   139,900       X        28-1500   139900
FRESENIUS MED CARE AG&CO KGA SPONSORED ADR  358029106         32,255       641       X        28-5284      641
                                                              43,778       870       X      X 28-5284      870
                                                              98,577     1,959       X        28-11135    1959
FRIEDMAN BILLINGS RAMSEY GRO CL A           358434108          1,105       650       X        28-5284      650
FRONTIER FINL CORP WASH      COM            35907K105         15,611       883       X        28-5284                        883
FRONTIER OIL CORP            COM            35914P105         10,904       400       X        28-5284      400
                                                              26,987       990       X      X 28-5284      990
                                                             123,106     4,516       X        28-11135    4516
FUELCELL ENERGY INC          COM            35952H106         66,447     9,992       X      X 28-5284     9992
   COLUMN TOTAL                                           67,959,300







                                                                                                                    FILE NO. 28-1235
PAGE  91 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                            
FUEL TECH INC                  COM          359523107          4,100       200       X        28-5284      200
                                                               2,050       100       X      X 28-5284      100
FUJIFILM HLDGS CORP            ADR 2 ORD    35958N107        164,515     4,629       X        28-5284     4629
                                                               1,635        46       X        28-11135      46
FULLER H B CO                  COM          359694106         41,391     2,028       X        28-11135    2028
FULTON FINL CORP PA            COM          360271100        386,717    31,466       X        28-5284    31466
                                                           2,196,100   178,690       X      X 28-5284    94771             83919
                                                              35,555     2,893       X        28-4580     2893
FURNITURE BRANDS INTL INC      COM          360921100        103,580     8,853       X        28-5284     6100              2753
                                                              51,773     4,425       X      X 28-5284     3025              1400
                                                                 714        61       X        28-11135      61
G & K SVCS INC                 CL A         361268105         46,970     1,319       X        28-5284     1000               319
                                                             113,952     3,200       X      X 28-5284     3200
GATX CORP                      COM          361448103         44,931     1,150       X        28-5284                       1150
                                                              27,896       714       X      X 28-5284      714
GFI GROUP INC                  COM          361652209          5,730       100       X        28-5284      100
                                                           1,168,920    20,400       X      X 28-5284    20400
GMH CMNTYS TR                  COM          36188G102         25,181     2,901       X        28-5284     2901
                                                             195,994    22,580       X      X 28-5284    22580
GP STRATEGIES CORP             COM          36225V104          5,938       625       X        28-5284      625
GTC BIOTHERAPEUTICS INC        COM          36238T104          3,825     7,500       X      X 28-5284     7500
GABELLI GLOBAL MULTIMEDIA TR   COM          36239Q109        489,279    48,300       X      X 28-5284              48300
GABELLI EQUITY TR INC          COM          362397101         78,804     9,271       X        28-5284     9271
                                                           1,382,636   162,663       X      X 28-5284    11500            151163
GABELLI UTIL TR                COM          36240A101        615,346    66,668       X      X 28-5284                      66668
GSI TECHNOLOGY                 COM          36241U106        132,765    50,100       X      X 28-5284              50100
GABELLI DIVD & INCOME TR       COM          36242H104         21,295     1,195       X        28-5284     1195
                                                              80,190     4,500       X      X 28-5284     4500
   COLUMN TOTAL                                            7,427,782







                                                                                                                    FILE NO. 28-1235
PAGE  92 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                            
GABELLI HLTHCARE & WELLNESS  SHS            36246K103            633        95       X        28-5284       95
                                                                 333        50       X      X 28-5284       50
GAFISA S A                   SPONS ADR      362607301        100,080     3,000       X      X 28-5284     3000
GAIAM INC                    CL A           36268Q103            606        35       X        28-5284       35
                                                              34,640     2,000       X      X 28-5284     2000
GALLAGHER ARTHUR J & CO      COM            363576109        122,824     5,200       X        28-5284                       5200
                                                              13,180       558       X      X 28-5284      558
                                                               1,960        83       X        28-11135      83
                                                               2,858       121       X      X 28-4580      121
GAMESTOP CORP NEW            CL A           36467W109      5,394,956   104,331       X        28-5284   102333              1998
                                                           2,371,989    45,871       X      X 28-5284    44606              1265
                                                              99,904     1,932       X        28-11135    1932
                                                              19,133       370       X        28-4580      370
GANNETT INC                  COM            364730101      5,264,209   181,212       X        28-5284   168507             12705
                                                           4,347,478   149,655       X      X 28-5284   134086      1860   13709
                                                               5,752       198       X        28-11135     198
                                                              17,721       610       X        28-4580      610
                                                             273,070     9,400       X      X 28-4580     9400
GAP INC DEL                  COM            364760108        550,883    27,992       X        28-5284    18127              9865
                                                             316,454    16,080       X      X 28-5284     4975      8000    3105
                                                           1,109,834    56,394       X        28-11135   56394
GARDNER DENVER INC           COM            365558105         26,341       710       X        28-5284      300               410
                                                             495,248    13,349       X        28-11135   13349
GARTNER INC                  COM            366651107         33,942     1,755       X        28-5284     1755
                                                               3,520       182       X      X 28-5284      182
GATEHOUSE MEDIA INC          COM            367348109         11,680     2,000       X      X 28-5284                       2000
GAYLORD ENTMT CO NEW         COM            367905106          2,241        74       X        28-5284                         74
GEN-PROBE INC NEW            COM            36866T103          7,905       164       X        28-5284      164
                                                              30,366       630       X      X 28-5284      630
                                                               7,953       165       X        28-11135     165
   COLUMN TOTAL                                           20,667,693







                                                                                                                    FILE NO. 28-1235
PAGE  93 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                    ITEM 6:
                                                                                  INVESTMENT                      ITEM 8:
                                                                       ITEM 5:    DISCRETION    ITEM 7:      VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED    MANAGERS          (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL -------------- -------- --------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE        AMOUNT  (A)SOLE (C)OTH INSTR V   (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                             
GEMSTAR-TV GUIDE INTL INC    COM            36866W106            893        190       X       28-5284        190
                                                             361,914     77,003       X     X 28-5284                77003
GENAERA CORP                 COM NEW        36867G209         92,413     54,682       X     X 28-5284                54682
GENCOR INDS INC              COM            368678108     12,785,670    742,921       X     X 28-5284               742921
GENCORP INC                  COM            368682100          3,602        350       X       28-5284                          350
                                                              39,349      3,824       X       28-11135      3824
GENENTECH INC                COM NEW        368710406      3,515,013     43,299       X       28-5284      39068              4231
                                                           1,484,945     18,292       X     X 28-5284      15767              2525
                                                             775,594      9,554       X       28-11135      9554
                                                              81,180      1,000       X       28-4580       1000
                                                              24,598        303       X     X 28-4580        303
GENERAL AMERN INVS INC       COM            368802104         36,375      1,141       X       28-5284                         1141
                                                              64,302      2,017       X     X 28-5284       2017
GENERAL CABLE CORP DEL NEW   COM            369300108         72,006      1,219       X       28-5284       1119               100
                                                             861,713     14,588       X     X 28-5284      14088               500
GENERAL COMMUNICATION INC    CL A           369385109          1,719        280       X       28-5284                          280
GENERAL DYNAMICS CORP        COM            369550108     43,892,221    526,475       X       28-5284     505446             21029
                                                          21,240,508    254,774       X     X 28-5284     236806      2727   15241
                                                              34,599        415       X       28-11135       415
                                                             643,450      7,718       X       28-4580       7411               307
                                                             294,379      3,531       X     X 28-4580       3424               107
GENERAL ELECTRIC CO          COM            369604103    568,067,267 15,349,021       X       28-5284   14541738      5458  801825
                                                         615,037,694 16,618,149       X     X 28-5284   15266425     32980 1318744
                                                           1,326,623     35,845       X       28-11135     35845
                                                          15,054,225    406,761       X       28-4580     404489              2272
                                                          13,574,010    366,766       X     X 28-4580     362260      3000    1506
GENERAL EMPLOYMENT ENTERPRIS COM            369730106          2,760      2,000       X     X 28-5284                 2000
GENERAL GROWTH PPTYS INC     COM            370021107      1,718,299     45,017       X       28-5284      41517              3500
                                                             350,515      9,183       X     X 28-5284       8983               200
   COLUMN TOTAL                                        1,301,437,836







                                                                                                                    FILE NO. 28-1235
PAGE  94 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GENERAL MLS INC              COM            370334104     24,636,668   411,434       X        28-5284   379048             32386
                                                          29,407,487   491,107       X      X 28-5284   442834      1395   46878
                                                             182,454     3,047       X        28-11135    3047
                                                             599,878    10,018       X        28-4580     9618               400
                                                             231,616     3,868       X      X 28-4580     3868
GENERAL MTRS CORP            COM            370442105        681,380    35,768       X        28-5284    14268             21500
                                                           1,171,708    61,507       X      X 28-5284    48952             12555
                                                              18,136       952       X        28-4580      952
                                                              26,727     1,403       X      X 28-4580     1403
GENESCO INC                  COM            371532102          4,160       180       X        28-5284                        180
                                                               5,778       250       X      X 28-5284      250
GENESEE & WYO INC            CL A           371559105        277,677     8,072       X      X 28-5284      572              7500
                                                               2,374        69       X        28-11135      69
GENESIS LEASE LTD            ADR            37183T107         21,825     1,500       X      X 28-5284                       1500
GENTEX CORP                  COM            371901109         29,670     1,730       X        28-5284     1730
                                                              48,020     2,800       X      X 28-5284     2800
GENESIS ENERGY L P           UNIT LTD PARTN 371927104          9,420       500       X        28-5284      500
GENOMIC HEALTH INC           COM            37244C101        207,790    11,000       X        28-5284    11000
GENTA INC                    COM PAR $0.001 37245M504          9,662    24,774       X      X 28-5284      500     24274
GENTEK INC                   COM NEW        37245X203             90         3       X        28-5284        3
GENUINE PARTS CO             COM            372460105      1,052,839    26,177       X        28-5284    24277              1900
                                                           2,645,269    65,770       X      X 28-5284    57433              8337
                                                               3,700        92       X        28-11135      92
                                                             265,452     6,600       X        28-4580     6600
GENWORTH FINL INC            COM CL A       37247D106        447,072    19,747       X        28-5284    12992              6755
                                                             265,454    11,725       X      X 28-5284     4000              7725
                                                               5,547       245       X        28-11135     245
GEOKINETICS INC              COM PAR $0.01  372910307         36,240     2,000       X      X 28-5284     2000
   COLUMN TOTAL                                           62,294,093







                                                                                                                    FILE NO. 28-1235
PAGE  95 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GENZYME CORP                 COM            372917104     21,551,079   289,121       X        28-5284   234724             54397
                                                          10,636,858   142,700       X      X 28-5284   119282       150   23268
                                                               2,460        33       X        28-11135      33
                                                              90,193     1,210       X        28-4580     1210
                                                               7,454       100       X      X 28-4580      100
GEORGIA GULF CORP            COM PAR $0.01  373200203          1,594       230       X        28-5284                        230
                                                               4,851       700       X      X 28-5284      500               200
GERDAU AMERISTEEL CORP       COM            37373P105          3,528       250       X        28-5284      250
GERBER SCIENTIFIC INC        COM            373730100          1,245       140       X        28-5284                        140
GERDAU S A                   SPONSORED ADR  373737105        198,705     6,500       X      X 28-5284     4000              2500
GERMAN AMERN BANCORP INC     COM            373865104         39,267     3,087       X        28-5284     3087
GERON CORP                   COM            374163103         29,280     6,000       X        28-5284     6000
                                                              10,736     2,200       X      X 28-5284      200      2000
GETTY IMAGES INC             COM            374276103         32,000     1,000       X        28-5284     1000
GETTY RLTY CORP NEW          COM            374297109        214,099    13,440       X      X 28-5284    13440
GEVITY HR INC                COM            374393106          1,273       147       X        28-5284      147
GILEAD SCIENCES INC          COM            375558103     48,447,888   940,188       X        28-5284   903687             36501
                                                          28,426,421   551,648       X      X 28-5284   534190      5529   11929
                                                             643,610    12,490       X        28-11135   12490
                                                             999,991    19,406       X        28-4580    18764               642
                                                             242,139     4,699       X      X 28-4580     4699
GILDAN ACTIVEWEAR INC        COM            375916103        987,313    26,427       X        28-5284    23007              3420
                                                           1,373,354    36,760       X      X 28-5284    36760
GLACIER BANCORP INC NEW      COM            37637Q105         46,008     2,400       X      X 28-5284     2400
                                                              32,321     1,686       X      X 28-4580     1686
GLADSTONE COML CORP          COM            376536108          8,553       550       X        28-5284      550
                                                             144,771     9,310       X      X 28-5284     9310
   COLUMN TOTAL                                          114,176,991







                                                                                                                    FILE NO. 28-1235
PAGE  96 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GLATFELTER                   COM            377316104      4,474,645   296,138       X        28-5284   296138
                                                          24,492,131 1,620,922       X      X 28-5284  1620722               200
                                                              11,544       764       X        28-11135     764
GLAXOSMITHKLINE PLC          SPONSORED ADR  37733W105     11,886,128   280,135       X        28-5284   246018             34117
                                                          29,739,569   700,909       X      X 28-5284   657251             43658
                                                             458,626    10,809       X        28-11135   10809
                                                              87,915     2,072       X        28-4580     2072
                                                             298,665     7,039       X      X 28-4580     7039
GLEN BURNIE BANCORP          COM            377407101         44,198     4,018       X      X 28-5284     4018
GLOBAL INCOME&CURRENCY FD IN COM            378968101          8,365       500       X        28-5284      500
GLOBALSTAR INC               COM            378973408          7,290     1,000       X      X 28-5284     1000
GLIMCHER RLTY TR             SH BEN INT     379302102         46,584     3,895       X        28-5284     3895
                                                             199,493    16,680       X      X 28-5284    16680
GLOBAL HIGH INCOME FUND INC  COM            37933G108         14,522     1,050       X        28-5284     1050
GLOBAL INDS LTD              COM            379336100         35,301     2,194       X        28-11135    2194
GLOBAL INCOME FD INC         COM            37934Y108         14,533     3,600       X      X 28-5284               3600
GLOBAL PMTS INC              COM            37940X102        517,538    12,513       X        28-5284    11763       750
                                                              50,749     1,227       X        28-11135    1227
GLOBECOMM SYSTEMS INC        COM            37956X103         65,250     7,500       X      X 28-5284     7500
GOL LINHAS AEREAS INTLG S A  SP ADR REP PFD 38045R107         17,868     1,200       X      X 28-5284     1200
GOLD FIELDS LTD NEW          SPONSORED ADR  38059T106         46,524     3,364       X        28-5284     2064              1300
                                                               7,399       535       X        28-4580      535
GOLD RESV INC                NOTE  5.500% 6 38068NAB4        356,000     4,000       X        28-4580     4000
GOLD RESV INC                CL A           38068N108          3,992       866       X        28-4580      866
GOLDCORP INC NEW             COM            380956409         79,825     2,060       X        28-5284     2060
                                                             176,661     4,559       X      X 28-5284     3559              1000
                                                             116,250     3,000       X        28-4580     3000
   COLUMN TOTAL                                           73,257,565







                                                                                                                    FILE NO. 28-1235
PAGE  97 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GOLDMAN SACHS GROUP INC      COM            38141G104     61,709,490   373,115       X        28-5284   358846             14269
                                                          29,364,168   177,545       X      X 28-5284   168280      2843    6422
                                                             493,193     2,982       X        28-11135    2982
                                                           1,411,934     8,537       X        28-4580     8320               217
                                                             328,465     1,986       X      X 28-4580     1986
GOLF TR AMER INC             COM            38168B103         14,080     8,000       X      X 28-5284               8000
GOODRICH CORP                COM            382388106     31,425,132   546,429       X        28-5284   509769             36660
                                                          13,589,325   236,295       X      X 28-5284   218042      3641   14612
                                                             648,943    11,284       X        28-4580    10890               394
                                                             156,197     2,716       X      X 28-4580     2716
GOODYEAR TIRE & RUBR CO      COM            382550101         38,803     1,504       X        28-5284     1504
                                                              15,480       600       X      X 28-5284      600
                                                          30,157,852 1,168,909       X        28-11439 1168909
GOOGLE INC                   CL A           38259P508      5,117,821    11,619       X        28-5284     9506              2113
                                                           2,337,574     5,307       X      X 28-5284     5262                45
                                                             558,956     1,269       X        28-11135    1269
                                                                 881         2       X      X 28-4580        2
GORMAN RUPP CO               COM            383082104        102,748     3,124       X        28-5284     3124
GRACE W R & CO DEL NEW       COM            38388F108         40,848     1,790       X        28-5284      700              1090
                                                              38,178     1,673       X      X 28-5284      820               853
GRACO INC                    COM            384109104      1,563,894    43,130       X        28-5284    36390              6740
                                                           1,750,089    48,265       X      X 28-5284    20080             28185
                                                                 834        23       X        28-11135      23
GRAINGER W W INC             COM            384802104      2,205,990    28,878       X        28-5284    25328              3550
                                                           2,506,203    32,808       X      X 28-5284    19665             13143
GRAMERCY CAP CORP            COM            384871109        503,262    24,045       X        28-5284    24045
                                                             733,806    35,060       X      X 28-5284    35060
GRANITE CONSTR INC           COM            387328107          1,145        35       X        28-5284       35
GRANT PRIDECO INC            COM            38821G101        177,881     3,614       X        28-5284     3614
                                                              39,917       811       X      X 28-5284      811
                                                              41,148       836       X        28-11135     836
   COLUMN TOTAL                                          187,074,237







                                                                                                                    FILE NO. 28-1235
PAGE  98 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GREAT ATLANTIC & PAC TEA INC COM            390064103          4,457       170       X        28-5284                        170
                                                                 891        34       X      X 28-5284       12        22
GREAT NORTHN IRON ORE PPTYS  CTFS BEN INT   391064102         12,616        95       X        28-5284       95
GREAT PLAINS ENERGY INC      COM            391164100        540,501    21,927       X        28-5284    13827              8100
                                                             277,313    11,250       X      X 28-5284    11250
                                                               4,659       189       X      X 28-4580      189
GREAT WOLF RESORTS INC       COM            391523107            638       100       X      X 28-5284      100
GREATER CHINA FD INC         COM            39167B102         20,086     1,100       X        28-5284     1100
                                                              21,638     1,185       X      X 28-5284     1185
GREEN MTN COFFEE ROASTERS IN COM            393122106        332,325    10,500       X      X 28-5284    10500
GREENHILL & CO INC           COM            395259104          1,948        28       X        28-11135      28
GREIF INC                    CL A           397624107          5,163        76       X        28-5284       76
                                                              70,443     1,037       X        28-11135    1037
GRIFFON CORP                 COM            398433102          1,462       170       X        28-5284                        170
                                                              23,650     2,750       X      X 28-5284     2750
GROUP 1 AUTOMOTIVE INC       COM            398905109          4,226       180       X        28-5284                        180
GRUBB & ELLIS CO             COM PAR $0.01  400095204         10,429     1,518       X        28-5284     1518
GRUPO TELEVISA SA DE CV      SP ADR REP ORD 40049J206          1,454        60       X        28-5284       60
                                                               7,514       310       X      X 28-5284      110               200
                                                              26,688     1,101       X        28-11135    1101
                                                               2,424       100       X        28-4580      100
GRUPO TMM S A B              SP ADR A SHS   40051D105         60,900    30,000       X      X 28-5284    30000
GUANGSHEN RY LTD             SPONSORED ADR  40065W107          6,759       257       X        28-5284      257
GUARANTY FINL GROUP INC      COM            40108N106          7,912       745       X        28-5284      745
GUESS INC                    COM            401617105          5,504       136       X        28-5284      136
                                                             150,832     3,727       X      X 28-5284     3727
                                                               4,290       106       X        28-11135     106
   COLUMN TOTAL                                            1,606,722







                                                                                                                    FILE NO. 28-1235
PAGE  99 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
GULF ISLAND FABRICATION INC  COM            402307102        592,120    20,617       X        28-11135   20617
GULFPORT ENERGY CORP         COM NEW        402635304        576,036    54,343       X        28-11135   54343
GYMBOREE CORP                COM            403777105          8,774       220       X        28-5284                        220
                                                           1,064,796    26,700       X      X 28-5284    26700
                                                              55,433     1,390       X        28-11135    1390
H & Q HEALTHCARE FD          SH BEN INT     404052102            120         8       X        28-5284        8
H & Q LIFE SCIENCES INVS     SH BEN INT     404053100         79,092     6,697       X        28-5284     6697
                                                              11,716       992       X      X 28-5284      992
HCC INS HLDGS INC            COM            404132102         41,387     1,824       X        28-5284     1824
                                                             596,634    26,295       X      X 28-5284    26250                45
HCP INC                      COM            40414L109      1,166,141    34,491       X        28-5284    30251              4240
                                                           2,631,973    77,846       X      X 28-5284    70646              7200
HDFC BANK LTD                ADR REPS 3 SHS 40415F101         35,956       366       X        28-5284      366
                                                              11,592       118       X      X 28-5284      118
                                                              29,472       300       X        28-11135     300
HFF INC                      CL A           40418F108            731       146       X        28-5284      146
HLTH CORPORATION             COM            40422Y101         50,505     5,294       X        28-5284      707              4587
HNI CORP                     COM            404251100        140,097     5,210       X        28-5284     5210
                                                             129,072     4,800       X      X 28-5284     4800
HRPT PPTYS TR                COM SH BEN INT 40426W101         67,367    10,010       X        28-5284     8110              1900
                                                             318,060    47,260       X      X 28-5284    45760              1500
                                                              67,300    10,000       X      X 28-4580    10000
HSBC HLDGS PLC               SPON ADR NEW   404280406      4,018,791    48,831       X        28-5284    48403               428
                                                           1,395,808    16,960       X      X 28-5284    16158               802
                                                             460,880     5,600       X        28-11135    5600
                                                               5,514        67       X        28-4580       67
                                                             345,166     4,194       X      X 28-4580     4194
HSBC HLDGS PLC               ADR A 1/40PF A 404280604         43,480     2,000       X        28-5284     2000
                                                              30,436     1,400       X      X 28-5284     1400
   COLUMN TOTAL                                           13,974,449







                                                                                                                    FILE NO. 28-1235
PAGE 100 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HAEMONETICS CORP             COM            405024100         11,320       190       X        28-5284                        190
                                                              11,916       200       X      X 28-5284      200
                                                               2,979        50       X        28-11135      50
HAIN CELESTIAL GROUP INC     COM            405217100         14,750       500       X        28-5284      200               300
                                                              38,350     1,300       X      X 28-5284     1300
                                                               1,918        65       X        28-11135      65
HALLIBURTON CO               COM            406216101     14,393,482   365,967       X        28-5284   260125            105842
                                                          12,140,935   308,694       X      X 28-5284   280484             28210
                                                             121,254     3,083       X        28-11135    3083
                                                              29,458       749       X        28-4580      749
                                                             117,990     3,000       X      X 28-4580     3000
HAMPTON ROADS BANKSHARES INC COM            409321106      1,715,000   140,000       X      X 28-5284   140000
JOHN HANCOCK BK &THRIFT OPP  SH BEN INT     409735107         33,054     5,660       X        28-5284     5660
                                                              57,209     9,796       X        28-11135    9796
HANCOCK JOHN INCOME SECS TR  COM            410123103          3,852       300       X        28-5284      300
                                                             132,252    10,300       X      X 28-5284                      10300
HANCOCK JOHN PATRIOT PREM II COM SH BEN INT 41013T105         46,580     5,063       X        28-5284     5063
                                                              73,720     8,013       X      X 28-5284     8013
HANCOCK JOHN TAX-ADV DIV INC COM            41013V100         22,980     1,500       X      X 28-5284     1500
HANCOCK JOHN PFD INCOME FD   SH BEN INT     41013W108          9,420       500       X        28-5284      500
HANCOCK JOHN PFD INCOME FD I COM            41013X106         20,900     1,100       X        28-5284     1100
HANCOCK JOHN INVS TR         COM            410142103        266,304    15,200       X      X 28-5284                      15200
HANDLEMAN CO DEL             COM            410252100             97       403       X        28-5284      403
                                                                  24        98       X        28-11135      98
HANESBRANDS INC              COM            410345102        533,980    18,287       X        28-5284    16044              2243
                                                             551,676    18,893       X      X 28-5284    18069               824
HANOVER CAP MTG HLDGS INC    COM            410761100            842     2,104       X      X 28-5284     2104
HANOVER INS GROUP INC        COM            410867105        246,840     6,000       X        28-5284     6000
                                                              48,463     1,178       X      X 28-5284       87              1091
   COLUMN TOTAL                                           30,647,545







                                                                                                                    FILE NO. 28-1235
PAGE 101 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HANSEN MEDICAL INC           COM            411307101         14,060     1,000       X      X 28-5284     1000
HANSEN NAT CORP              COM            411310105          7,060       200       X        28-5284                        200
                                                              79,425     2,250       X      X 28-5284                       2250
                                                                 706        20       X        28-11135      20
HARLEY DAVIDSON INC          COM            412822108     24,179,100   644,776       X        28-5284   601774             43002
                                                           5,054,363   134,783       X      X 28-5284   126432      1710    6641
                                                              11,175       298       X        28-4580      298
HARLEYSVILLE GROUP INC       COM            412824104         58,827     1,630       X        28-5284     1630
                                                              27,068       750       X      X 28-5284      750
HARLEYSVILLE NATL CORP PA    COM            412850109        187,460    13,000       X        28-5284    13000
                                                             977,863    67,813       X      X 28-5284    67813
HARMAN INTL INDS INC         COM            413086109         58,518     1,344       X        28-5284     1344
                                                               2,221        51       X      X 28-5284       51
                                                             255,623     5,871       X        28-11135    5871
HARMONIC INC                 COM            413160102          4,864       640       X        28-5284                        640
                                                              72,914     9,594       X        28-11135    9594
HARMONY GOLD MNG LTD         SPONSORED ADR  413216300         23,088     1,950       X        28-5284                       1950
HARRIS & HARRIS GROUP INC    COM            413833104          1,783       250       X        28-5284      250
                                                                 713       100       X      X 28-5284      100
HARRIS CORP DEL              COM            413875105      1,043,201    21,496       X        28-5284    21346               150
                                                           3,195,409    65,844       X      X 28-5284    59094       275    6475
                                                             935,707    19,281       X        28-11135   19281
                                                               2,960        61       X        28-4580       61
HARSCO CORP                  COM            415864107        171,401     3,095       X        28-5284     2295               800
                                                           1,711,076    30,897       X      X 28-5284    29897              1000
HARRY WINSTON DIAMOND CORP   COM            41587B100         16,716       700       X        28-5284      700
HARTE-HANKS INC              COM            416196103          8,886       650       X        28-5284      650
   COLUMN TOTAL                                           38,102,187







                                                                                                                    FILE NO. 28-1235
PAGE 102 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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      2,713,324    35,810       X        28-5284    24843             10967
                                                           2,263,250    29,870       X      X 28-5284    27293              2577
                                                           1,152,765    15,214       X        28-11135   15214
                                                              19,018       251       X        28-4580      251
HARTFORD INCOME SHS FD INC   COM            416537108         21,204     3,100       X      X 28-5284                       3100
HARVEST ENERGY TR            TRUST UNIT     41752X101         89,496     4,000       X        28-5284     4000
                                                               2,237       100       X      X 28-5284                        100
HASBRO INC                   COM            418056107         83,477     2,992       X        28-5284     2992
                                                             139,500     5,000       X      X 28-5284                       5000
HAUPPAUGE DIGITAL INC        COM            419131107        219,700    65,000       X      X 28-5284              65000
HAVERTY FURNITURE INC        COM            419596101          2,107       198       X        28-5284      198
HAWAIIAN ELEC INDUSTRIES     COM            419870100          9,548       400       X        28-5284      400
                                                             168,522     7,060       X      X 28-5284     7060
HAYNES INTERNATIONAL INC     COM NEW        420877201          3,403        62       X        28-5284       62
HEALTHCARE SVCS GRP INC      COM            421906108        116,141     5,627       X        28-11135    5627
HEALTHSOUTH CORP             COM NEW        421924309         19,818     1,114       X        28-5284     1114
HEALTH MGMT ASSOC INC NEW    CL A           421933102      1,534,793   290,131       X        28-5284   266421             23710
                                                             151,876    28,710       X      X 28-5284    25340              3370
HEALTHCARE RLTY TR           COM            421946104         25,862       989       X        28-5284      989
                                                             377,789    14,447       X      X 28-5284    14447
HEADWATERS INC               COM            42210P102          3,166       240       X        28-5284      240
                                                               3,957       300       X      X 28-5284      300
HEALTH CARE REIT INC         NOTE  4.750% 7 42217KAQ9      4,236,840     4,000       X        28-11439    4000
HEALTH CARE REIT INC         COM            42217K106        437,535     9,695       X        28-5284     8695              1000
                                                             622,884    13,802       X      X 28-5284    13802
                                                               5,777       128       X        28-11135     128
HEALTHEXTRAS INC             COM            422211102          8,073       325       X        28-5284      325
                                                              14,904       600       X      X 28-5284      600
   COLUMN TOTAL                                           14,446,966







                                                                                                                    FILE NO. 28-1235
PAGE 103 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          6,684       217       X        28-5284      217
                                                               9,271       301       X      X 28-5284      301
                                                              39,516     1,283       X        28-11135    1283
HEALTHWAYS INC               COM            422245100         20,992       594       X        28-5284      594
                                                             550,456    15,576       X      X 28-5284     4026             11550
HEARST-ARGYLE TELEVISION INC COM            422317107         70,142     3,400       X      X 28-5284     3400
HEARTLAND EXPRESS INC        COM            422347104          5,319       373       X        28-5284                        373
HEARTLAND PMT SYS INC        COM            42235N108         16,314       709       X        28-5284      709
                                                             303,663    13,197       X      X 28-5284     9247              3950
HECLA MNG CO                 COM            422704106         11,439     1,025       X      X 28-5284     1025
HEELYS INC                   COM            42279M107            665       155       X        28-5284      155
HEICO CORP NEW               COM            422806109          4,875       100       X      X 28-5284      100
                                                              13,455       276       X        28-11135     276
HEIDRICK & STRUGGLES INTL IN COM            422819102          5,563       171       X        28-5284       31               140
                                                              79,699     2,450       X      X 28-5284     2450
HEINZ H J CO                 COM            423074103     22,885,287   487,232       X        28-5284   469919             17313
                                                          25,681,411   546,762       X      X 28-5284   509435       967   36360
                                                           1,145,129    24,380       X        28-11135   24380
                                                           3,108,569    66,182       X        28-4580    66182
                                                           1,013,660    21,581       X      X 28-4580    21581
HELIX ENERGY SOLUTIONS GRP I COM            42330P107          1,764        56       X        28-11135      56
HELLENIC TELECOM ORGANIZATN  SPONSORED ADR  423325307          2,198       156       X        28-5284      156
HELMERICH & PAYNE INC        COM            423452101        128,893     2,750       X        28-5284     2750
                                                              46,870     1,000       X      X 28-5284     1000
                                                               1,078        23       X        28-11135      23
HENRY JACK & ASSOC INC       COM            426281101        130,011     5,270       X        28-5284     5270
                                                              14,802       600       X      X 28-5284                        600
   COLUMN TOTAL                                           55,297,725







                                                                                                                    FILE NO. 28-1235
PAGE 104 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HERCULES INC                 COM            427056106         43,164     2,360       X        28-5284     1100              1260
                                                              32,922     1,800       X      X 28-5284     1800
                                                               9,145       500       X        28-4580      500
                                                              72,721     3,976       X      X 28-4580     3976
HERCULES OFFSHORE INC        COM            427093109         22,909       912       X        28-5284      912
                                                              11,806       470       X      X 28-5284      470
HERSHA HOSPITALITY TR        SH BEN INT A   427825104        119,151    13,195       X        28-5284    13195
                                                               7,043       780       X      X 28-5284      780
HERSHEY CO                   COM            427866108      7,526,391   199,798       X        28-5284   178898             20900
                                                          10,405,885   276,238       X      X 28-5284   272598              3640
                                                              64,039     1,700       X        28-4580     1700
                                                              24,486       650       X      X 28-4580      650
HERZFELD CARIBBEAN BASIN FD  COM            42804T106          3,443       455       X        28-5284      455
HERTZ GLOBAL HOLDINGS INC    COM            42805T105          1,158        96       X        28-5284       96
HESS CORP                    COM            42809H107        238,262     2,702       X        28-5284     2702
                                                             297,608     3,375       X      X 28-5284     3275               100
                                                              16,754       190       X      X 28-4580      190
HEWITT ASSOCS INC            COM            42822Q100      1,649,660    41,480       X      X 28-5284    41480
HEWLETT PACKARD CO           COM            428236103    100,427,663 2,199,467       X        28-5284  2099502             99965
                                                          84,683,776 1,854,660       X      X 28-5284  1749990     13216   91454
                                                             627,231    13,737       X        28-11135   13737
                                                           2,312,040    50,636       X        28-4580    49888               748
                                                           1,777,042    38,919       X      X 28-4580    38919
HEXCEL CORP NEW              COM            428291108         40,800     2,135       X        28-5284     2135
                                                              57,330     3,000       X      X 28-5284                       3000
HIGH YIELD PLUS FD INC       COM            429906100          2,920     1,000       X        28-5284     1000
HIGHLAND CR STRATEGIES FD    COM            43005Q107         19,530     1,500       X        28-11439    1500
HIGHWOODS PPTYS INC          COM            431284108        237,561     7,646       X        28-5284     7646
                                                                 280         9       X      X 28-5284        9
   COLUMN TOTAL                                          210,732,720







                                                                                                                    FILE NO. 28-1235
PAGE 105 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HILB ROGAL & HOBBS CO        COM            431294107      1,661,238    52,788       X        28-5284    52508               280
                                                             741,685    23,568       X      X 28-5284    20943              2625
                                                               4,972       158       X        28-11135     158
HILLENBRAND INDS INC         COM            431573104      1,769,938    37,028       X        28-5284    23628             13400
                                                          15,229,415   318,607       X      X 28-5284   246954     20489   51164
HIRSCH INTL CORP             CL A           433550100        329,661   183,145       X      X 28-5284             183145
HITACHI LIMITED              ADR 10 COM     433578507         49,742       836       X        28-5284      836
HOLLY CORP                   COM PAR $0.01  435758305         26,046       600       X        28-5284      600
HOLLIS-EDEN PHARMACEUTICALS  COM            435902101         23,760    13,500       X        28-5284    13500
                                                               5,280     3,000       X      X 28-5284     3000
HOLOGIC INC                  COM            436440101         91,796     1,651       X        28-5284     1651
                                                              89,460     1,609       X      X 28-5284     1609
                                                             111,478     2,005       X        28-11135    2005
HOME DEPOT INC               COM            437076102     67,483,834 2,412,722       X        28-5284  2218312            194410
                                                          26,948,731   963,487       X      X 28-5284   842966     10143  110378
                                                              27,271       975       X        28-11135     975
                                                             660,903    23,629       X        28-4580    23629
                                                              87,406     3,125       X      X 28-4580     3125
HOME DIAGNOSTICS INC DEL     COM            437080104        243,858    35,037       X        28-11135   35037
HOME PROPERTIES INC          COM            437306103        769,040    16,025       X        28-5284      625             15400
HONDA MOTOR LTD              AMERN SHS      438128308        240,852     8,360       X        28-5284     7580               780
                                                             514,633    17,863       X      X 28-5284    17863
HONEYWELL INTL INC           COM            438516106     12,600,617   223,336       X        28-5284   164524             58812
                                                           7,415,337   131,431       X      X 28-5284    98453             32978
                                                             160,402     2,843       X        28-11135    2843
                                                              32,329       573       X        28-4580      573
                                                             415,590     7,366       X      X 28-4580     7366
HORACE MANN EDUCATORS CORP N COM            440327104            909        52       X        28-5284       52
   COLUMN TOTAL                                          137,736,183







                                                                                                                    FILE NO. 28-1235
PAGE 106 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HORMEL FOODS CORP            COM            440452100        223,506     5,365       X        28-5284     5365
                                                           1,085,243    26,050       X      X 28-5284     8295             17755
                                                              62,490     1,500       X        28-4580     1500
HORNBECK OFFSHORE SVCS INC N COM            440543106        103,260     2,261       X        28-5284                       2261
HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102        383,712    11,279       X        28-5284    11079               200
                                                             860,536    25,295       X      X 28-5284    22195              3100
                                                              83,553     2,456       X        28-11135    2456
HOSPIRA INC                  COM            441060100      1,150,513    26,900       X        28-5284    22876              4024
                                                           2,695,280    63,018       X      X 28-5284    55373       600    7045
                                                               2,780        65       X        28-11135      65
                                                               4,363       102       X      X 28-4580      102
HOST HOTELS & RESORTS INC    COM            44107P104        841,977    52,888       X        28-5284    52874                14
                                                             323,033    20,291       X      X 28-5284    13791              6500
                                                             401,518    25,221       X        28-11135   25221
HOT TOPIC INC                COM            441339108          1,207       280       X        28-5284                        280
HOUSTON WIRE & CABLE CO      COM            44244K109         25,632     1,600       X        28-5284     1600
                                                             225,882    14,100       X      X 28-5284    14100
HOVNANIAN ENTERPRISES INC    CL A           442487203         23,256     2,194       X        28-5284      170              2024
HUANENG PWR INTL INC         SPON ADR H SHS 443304100         43,245     1,416       X        28-5284      416              1000
                                                              25,959       850       X      X 28-5284      850
HUBBELL INC                  CL A           443510102        180,308     3,784       X        28-5284     3784
                                                             711,081    14,923       X      X 28-5284     8973              5950
HUBBELL INC                  CL B           443510201        606,330    13,878       X        28-5284     8678              5200
                                                             967,690    22,149       X      X 28-5284    15319              6830
HUDSON CITY BANCORP          COM            443683107        154,894     8,761       X        28-5284     1656              7105
                                                              35,608     2,014       X      X 28-5284     2014
HUGOTON RTY TR TEX           UNIT BEN INT   444717102        152,076     5,514       X        28-5284     5514
HUMANA INC                   COM            444859102        662,403    14,766       X        28-5284    14766
                                                             664,332    14,809       X      X 28-5284    14809
                                                              13,189       294       X        28-11135     294
   COLUMN TOTAL                                           12,714,856







                                                                                                                    FILE NO. 28-1235
PAGE 107 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
HUMAN GENOME SCIENCES INC    COM            444903108         20,615     3,500       X        28-5284     3500
                                                               3,534       600       X      X 28-5284      600
HUNT J B TRANS SVCS INC      COM            445658107          9,398       299       X        28-5284      156               143
                                                                 189         6       X      X 28-5284        6
HUNTINGTON BANCSHARES INC    COM            446150104      1,123,289   104,492       X        28-5284    76492             28000
                                                             731,086    68,008       X      X 28-5284    67758               250
                                                               4,848       451       X        28-11135     451
                                                             132,612    12,336       X      X 28-4580    12336
HUNTSMAN CORP                COM            447011107         25,740     1,093       X        28-5284     1093
                                                              58,875     2,500       X      X 28-5284     2500
                                                               4,121       175       X        28-4580      175
HURCO COMPANIES INC          COM            447324104         52,861     1,130       X        28-11135    1130
HURON CONSULTING GROUP INC   COM            447462102          2,576        62       X        28-5284       62
HUTCHINSON TECHNOLOGY INC    COM            448407106          3,182       200       X        28-5284                        200
HUTCHISON TELECOMM INTL LTD  SPONSORED ADR  44841T107         21,510     1,000       X        28-5284     1000
HYDROGENICS CORP             COM            448882100            433       787       X      X 28-5284      787
HYPERDYNAMICS CORP           COM            448954107          1,180     1,000       X        28-5284     1000
HYPERION BRKFLD TOTAL RET FD COM            449145101         14,160     2,000       X        28-5284     2000
                                                             210,630    29,750       X      X 28-5284      250             29500
HYPERION BRKFLD STRGC MTG IN COM            44915C105        198,654    22,600       X      X 28-5284                      22600
HYTHIAM INC                  COM            44919F104            605       500       X        28-5284                        500
IAC INTERACTIVECORP          COM NEW        44919P300          2,221       107       X        28-5284      107
                                                                 664        32       X      X 28-5284       32
                                                               7,474       360       X        28-11135     360
ICO GLOBAL COMM HLDGS LTD DE CL A           44930K108          5,361     1,735       X        28-5284     1735
ICAD INC                     COM            44934S107            492       200       X      X 28-5284      200
ICX TECHNOLOGIES INC         COM            44934T105        547,272   121,616       X      X 28-5284   121616
   COLUMN TOTAL                                            3,183,582







                                                                                                                    FILE NO. 28-1235
PAGE 108 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
IHOP CORP                    COM            449623107          5,748       120       X        28-5284                        120
ING PRIME RATE TR            SH BEN INT     44977W106          4,578       840       X        28-5284      840
ING CLARION REAL EST INCOME  COM SHS        449788108         29,484     2,600       X        28-5284     2600
ING CLARION GLB RE EST INCM  COM            44982G104        117,081     8,286       X        28-5284     5852              2434
                                                              14,130     1,000       X      X 28-5284     1000
IMS HEALTH INC               COM            449934108        610,803    29,072       X        28-5284    26672              2400
                                                           1,609,534    76,608       X      X 28-5284    76434               174
                                                              16,808       800       X      X 28-4580      800
ISTAR FINL INC               COM            45031U101         43,353     3,090       X        28-5284     2540               550
                                                             506,357    36,091       X      X 28-5284    36091
ITT EDUCATIONAL SERVICES INC COM            45068B109         37,020       806       X        28-5284      806
                                                              58,010     1,263       X      X 28-5284     1263
IVAX DIAGNOSTICS INC         COM            45070W109         62,350   145,000       X      X 28-5284             145000
IBASIS INC                   COM NEW        450732201        104,370    25,456       X      X 28-5284              25456
ITT CORP NEW                 COM            450911102     16,741,883   323,140       X        28-5284   308573             14567
                                                          11,333,127   218,744       X      X 28-5284   212091       150    6503
                                                             206,981     3,995       X        28-4580     3995
                                                             304,021     5,868       X      X 28-4580     5868
ICON PUB LTD CO              SPONSORED ADR  45103T107         11,875       183       X        28-5284      183
                                                              15,574       240       X      X 28-5284      240
ICICI BK LTD                 ADR            45104G104        174,605     4,572       X        28-5284     3172              1400
                                                              30,552       800       X      X 28-5284      800
ICAHN ENTERPRISES LP         DEPOSITRY UNIT 451100101         21,450       260       X        28-5284      260
                                                              94,380     1,144       X      X 28-5284               1144
                                                               1,815        22       X      X 28-4580       22
IDACORP INC                  COM            451107106         14,450       450       X        28-5284      450
                                                              31,050       967       X      X 28-5284      667               300
                                                              16,151       503       X        28-4580      503
   COLUMN TOTAL                                           32,217,540







                                                                                                                    FILE NO. 28-1235
PAGE 109 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
IDEARC INC                   COM            451663108        100,959    27,736       X        28-5284    23005              4731
                                                             137,763    37,847       X      X 28-5284    35770       138    1939
                                                                 339        93       X        28-11135      93
                                                               2,643       726       X        28-4580      726
                                                               2,250       618       X      X 28-4580      618
IDEX CORP                    COM            45167R104         81,022     2,640       X        28-5284     2640
                                                              19,949       650       X        28-11135     650
IDEXX LABS INC               COM            45168D104         76,501     1,553       X        28-5284     1101               452
                                                           1,043,130    21,176       X      X 28-5284     6476             14700
                                                               1,182        24       X        28-11135      24
IGATE CORP                   COM            45169U105         28,480     4,000       X        28-5284     4000
                                                               3,560       500       X      X 28-5284      500
IKON OFFICE SOLUTIONS INC    COM            451713101         82,954    10,915       X      X 28-5284    10000       915
ILLINOIS TOOL WKS INC        COM            452308109     30,574,106   633,923       X        28-5284   596057             37866
                                                          24,839,125   515,014       X      X 28-5284   442028       300   72686
                                                               2,508        52       X        28-11135      52
                                                           1,540,129    31,933       X        28-4580    31933
                                                             667,021    13,830       X      X 28-4580    12980       850
ILLUMINA INC                 COM            452327109         25,427       335       X        28-5284      335
IMATION CORP                 COM            45245A107         63,513     2,793       X        28-5284     2743                50
                                                              40,568     1,784       X      X 28-5284     1784
IMAX CORP                    COM            45245E109         34,850     5,000       X      X 28-5284     5000
IMCLONE SYS INC              COM            45245W109            212         5       X      X 28-5284        5
IMMUCOR INC                  COM            452526106        104,246     4,885       X        28-11135    4885
IMMUNOGEN INC                COM            45253H101          7,160     2,000       X        28-5284     2000
                                                               1,790       500       X      X 28-5284      500
IMPERIAL CAP BANCORP INC     COM            452680101            843        39       X        28-5284       39
IMMUNOMEDICS INC             COM            452907108         28,100    10,000       X        28-5284    10000
   COLUMN TOTAL                                           59,510,330







                                                                                                                    FILE NO. 28-1235
PAGE 110 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
IMPERIAL OIL LTD             COM NEW        453038408        290,200     5,553       X        28-5284     5553
                                                           1,400,986    26,808       X      X 28-5284    15408             11400
IMPERIAL TOBACCO GROUP PLC   SPONSORED ADR  453142101         17,770       193       X        28-5284      193
                                                              58,833       639       X      X 28-5284      264               375
                                                               6,445        70       X        28-4580       70
INCYTE CORP                  COM            45337C102          2,102       200       X        28-5284      200
INDEPENDENT BANK CORP MICH   COM            453838104          1,183       114       X        28-5284      114
INDIA FD INC                 COM            454089103        477,159    10,493       X        28-5284    10493
                                                           2,161,970    47,543       X      X 28-5284    47543
INDYMAC BANCORP INC          COM            456607100            645       130       X        28-5284      130
                                                             100,192    20,200       X      X 28-5284    20200
                                                                 273        55       X        28-11135      55
INERGY L P                   UNIT LTD PTNR  456615103          2,791       100       X        28-5284      100
                                                              27,910     1,000       X      X 28-5284                       1000
INFINEON TECHNOLOGIES AG     SPONSORED ADR  45662N103         72,608    10,343       X        28-5284    10343
INFOCUS CORP                 COM            45665B106      2,298,802 1,229,306       X      X 28-5284            1229306
INFOLOGIX INC                COM            45668X105        207,500   125,000       X        28-5284   125000
INFOSPACE INC                COM NEW        45678T201          5,785       500       X      X 28-5284                500
INFOSYS TECHNOLOGIES LTD     SPONSORED ADR  456788108         57,232     1,600       X        28-5284      600              1000
                                                              39,562     1,106       X      X 28-5284      106              1000
                                                             162,074     4,531       X        28-11135    4531
ING GROEP N V                SPONSORED ADR  456837103        228,181     6,106       X        28-5284     5106              1000
                                                             273,922     7,330       X      X 28-5284     4052              3278
                                                             434,763    11,634       X        28-11135   11634
                                                              48,245     1,291       X        28-4580     1291
ING GLOBAL EQTY DIV & PREM O COM            45684E107         16,723     1,008       X        28-5284                       1008
                                                              20,738     1,250       X      X 28-5284     1250
INGLES MKTS INC              CL A           457030104            148         6       X        28-11135       6
   COLUMN TOTAL                                            8,414,742







                                                                                                                    FILE NO. 28-1235
PAGE 111 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
INGRAM MICRO INC             CL A           457153104        107,644     6,800       X        28-5284                       6800
                                                               2,644       167       X      X 28-5284      167
                                                               2,327       147       X        28-11135     147
INHIBITEX INC                COM            45719T103        534,283   684,978       X      X 28-5284             684978
INLAND REAL ESTATE CORP      COM NEW        457461200          3,042       200       X        28-5284      200
INSIGHT ENTERPRISES INC      COM            45765U103          6,475       370       X        28-5284                        370
INSITUFORM TECHNOLOGIES INC  CL A           457667103          2,489       180       X        28-5284                        180
INNOSPEC INC                 COM            45768S105          7,929       374       X        28-5284      374
                                                               2,120       100       X      X 28-5284                        100
INNOVATIVE SOLUTIONS & SUPPO COM            45769N105            148        14       X        28-11135      14
INNOPHOS HOLDINGS INC        COM            45774N108          2,108       131       X      X 28-4580      131
INSTEEL INDUSTRIES INC       COM            45774W108          9,304       800       X        28-5284      800
                                                              16,282     1,400       X      X 28-5284     1400
INTEGRA LIFESCIENCES HLDGS C COM NEW        457985208        507,078    11,665       X        28-5284    11665
                                                              13,041       300       X      X 28-5284      300
INSWEB CORP                  COM NEW        45809K202      2,901,475   270,156       X      X 28-5284             270156
INTEGRATED DEVICE TECHNOLOGY COM            458118106          1,313       147       X        28-5284      147
INTEGRATED SILICON SOLUTION  COM            45812P107      4,623,083   764,146       X      X 28-5284             764146
INTEL CORP                   COM            458140100    116,568,069 5,503,686       X        28-5284  5159651            344035
                                                         107,855,253 5,092,316       X      X 28-5284  4583816     15327  493173
                                                           1,957,180    92,407       X        28-11135   92407
                                                           2,515,252   118,756       X        28-4580   117950               806
                                                           1,564,609    73,872       X      X 28-4580    73572       300
INTEGRYS ENERGY GROUP INC    COM            45822P105        335,202     7,187       X        28-5284     6987               200
                                                             792,227    16,986       X      X 28-5284    16821               165
                                                               4,431        95       X        28-11135      95
                                                             233,200     5,000       X      X 28-4580     5000
   COLUMN TOTAL                                          240,568,208







                                                                                                                    FILE NO. 28-1235
PAGE 112 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
INTERACTIVE BROKERS GROUP IN COM            45841N107          2,439        95       X        28-5284       95
                                                               7,675       299       X        28-11135     299
INTERCONTINENTAL HTLS GRP PL SPONS ADR NEW  45857P301          7,444       493       X        28-5284      493
INTERCONTINENTALEXCHANGE INC COM            45865V100      1,931,531    14,801       X        28-5284    12771              2030
                                                              49,851       382       X      X 28-5284      382
                                                              21,011       161       X        28-11135     161
INTERFACE INC                CL A           458665106          5,620       400       X        28-5284                        400
                                                              70,250     5,000       X      X 28-5284     5000
INTERDIGITAL INC             COM            45867G101          3,962       200       X        28-5284      200
                                                             125,457     6,333       X      X 28-5284     6333
INTERMEC INC                 COM            458786100         11,095       500       X        28-5284      500
                                                              17,752       800       X      X 28-5284      800
INTERMUNE INC                COM            45884X103         27,702     1,900       X      X 28-5284     1900
INTERNAP NETWORK SVCS CORP   COM PAR $.001  45885A300         24,552     4,950       X      X 28-5284     4950
INTERNATIONAL BUSINESS MACHS COM            459200101    143,113,839 1,242,955       X        28-5284  1170436             72519
                                                         201,913,534 1,753,635       X      X 28-5284  1561455      6975  185205
                                                           1,853,754    16,100       X        28-11135   16100
                                                           6,329,246    54,970       X        28-4580    54970
                                                           5,959,762    51,761       X      X 28-4580    51761
INTERNATIONAL COAL GRP INC N COM            45928H106        736,600   116,000       X      X 28-5284   116000
INTERNATIONAL FLAVORS&FRAGRA COM            459506101        142,986     3,246       X        28-5284     3246
                                                             326,411     7,410       X      X 28-5284     5331              2079
INTERNATIONAL GAME TECHNOLOG COM            459902102      2,229,805    55,454       X        28-5284    55454
                                                             218,742     5,440       X      X 28-5284     5240               200
INTL PAPER CO                COM            460146103      3,141,491   115,496       X        28-5284   114991               505
                                                           2,494,512    91,710       X      X 28-5284    87283              4427
                                                             260,005     9,559       X        28-11135    9559
                                                              49,042     1,803       X        28-4580     1803
                                                             103,360     3,800       X      X 28-4580     3800
   COLUMN TOTAL                                          371,179,430







                                                                                                                    FILE NO. 28-1235
PAGE 113 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
INTERNATIONAL RECTIFIER CORP COM            460254105         45,258     2,105       X        28-5284     2105
                                                              19,350       900       X      X 28-5284      900
                                                              25,091     1,167       X        28-11135    1167
INTERNATIONAL SHIPHOLDING CO COM NEW        460321201         58,044     3,031       X        28-5284     3031
INTERNATIONAL SPEEDWAY CORP  CL A           460335201         27,192       660       X        28-5284      660
INTERNET CAP GROUP INC       COM NEW        46059C205        238,182    22,749       X        28-5284    22749
                                                               7,695       735       X      X 28-5284       10       725
INTERSIL CORP                CL A           46069S109         15,402       600       X      X 28-5284      600
                                                              14,144       551       X        28-11135     551
INTERPUBLIC GROUP COS INC    COM            460690100         46,818     5,567       X        28-5284     5567
                                                              25,323     3,011       X      X 28-5284     3011
INTERSTATE HOTELS & RESRTS I COM            46088S106        251,141    52,540       X        28-5284    52540
INTEST CORP                  COM            461147100        375,056   178,598       X        28-5284   178598
INTUITIVE SURGICAL INC       COM NEW        46120E602      5,851,598    18,041       X        28-5284     9294              8747
                                                           3,358,969    10,356       X      X 28-5284     8881       975     500
                                                              26,272        81       X        28-11135      81
INTUIT                       COM            461202103        345,404    12,788       X        28-5284     8448      1240    3100
                                                           1,518,448    56,218       X      X 28-5284    54058              2160
                                                              58,234     2,156       X        28-11135    2156
INVACARE CORP                COM            461203101          5,347       240       X        28-5284                        240
INVENTIV HEALTH INC          COM            46122E105        420,396    14,592       X        28-11135   14592
                                                               4,552       158       X        28-4580      158
INVERNESS MED INNOVATIONS IN COM            46126P106          1,054        35       X        28-5284       35
INVESTMENT TECHNOLOGY GRP NE COM            46145F105          1,570        34       X        28-5284       34
INVESTORS BANCORP INC        COM            46146P102          3,070       200       X      X 28-5284      200
INVITROGEN CORP              COM            46185R100         91,880     1,075       X        28-5284     1075
                                                               8,974       105       X      X 28-5284      105
   COLUMN TOTAL                                           12,844,464







                                                                                                                    FILE NO. 28-1235
PAGE 114 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
IOMEGA CORP                  COM NEW        462030305            143        40       X        28-5284       40
                                                           7,616,699 2,133,529       X      X 28-5284            2133529
ION GEOPHYSICAL CORP         COM            462044108        110,400     8,000       X        28-5284     8000
ION MEDIA NETWORKS INC       NOTE 11.000% 7 46205AAB9         70,208     2,530       X        28-5284     2530
IONA TECHNOLOGIES PLC        SPONSORED ADR  46206P109          1,432       369       X        28-5284      369
IOWA TELECOMM SERVICES INC   COM            462594201         18,439     1,040       X        28-5284     1040
                                                             106,380     6,000       X      X 28-5284     6000
IRELAND BK                   SPONSORED ADR  46267Q103         54,342       900       X        28-5284      900
                                                                 906        15       X      X 28-5284       15
                                                              38,643       640       X        28-11135     640
IROBOT CORP                  COM            462726100         51,330     3,000       X      X 28-5284                       3000
IRON MTN INC                 COM            462846106        848,433    32,089       X        28-5284    27071      1897    3121
                                                             846,503    32,016       X      X 28-5284    14541             17475
                                                               6,398       242       X        28-4580      242
IRWIN FINL CORP              COM            464119106         38,816     7,310       X        28-5284     7310
ISHARES SILVER TRUST         ISHARES        46428Q109        140,588       825       X        28-5284      825
                                                             286,970     1,684       X      X 28-5284     1684
                                                             170,410     1,000       X        28-4580     1000
ISHARES S&P GSCI COMMODITY I UNIT BEN INT   46428R107         37,609       650       X        28-5284      650
                                                               5,786       100       X      X 28-5284                        100
ISHARES COMEX GOLD TR        ISHARES        464285105      1,374,920    15,164       X        28-5284    15164
                                                           4,753,919    52,431       X      X 28-5284    49831              2600
ISHARES INC                  MSCI AUSTRALIA 464286103         12,880       500       X        28-5284      500
                                                             547,014    21,235       X      X 28-5284    21235
ISHARES INC                  MSCI AUSTRIA   464286202         74,435     2,214       X      X 28-5284     2214
ISHARES INC                  MSCI BRAZIL    464286400        464,337     6,028       X        28-5284     6028
                                                             145,510     1,889       X      X 28-5284     1889
   COLUMN TOTAL                                           17,823,450







                                                                                                                    FILE NO. 28-1235
PAGE 115 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES INC                  MSCI CDA INDEX 464286509        232,690     7,677       X        28-5284     7677
                                                             555,855    18,339       X      X 28-5284    18339
ISHARES INC                  MSCI EMU INDEX 464286608      7,090,822    65,173       X        28-5284    65173
                                                           1,403,520    12,900       X      X 28-5284    12500       400
                                                                 218         2       X        28-11135       2
                                                           1,930,438    17,743       X        28-4580    17743
                                                           2,200,480    20,225       X      X 28-4580    19525               700
ISHARES INC                  MSCI BRIC INDX 464286657         24,760       500       X      X 28-5284      500
ISHARES INC                  MSCI PAC J IDX 464286665     44,498,712   328,210       X        28-5284   320652              7558
                                                           8,359,185    61,655       X      X 28-5284    59866       175    1614
                                                             610,652     4,504       X        28-11135    4504
                                                           2,833,622    20,900       X        28-4580    20500               400
                                                           3,380,958    24,937       X      X 28-4580    23637              1300
ISHARES INC                  MSCI SINGAPORE 464286673         57,465     4,500       X        28-5284     4500
                                                             160,787    12,591       X      X 28-5284    12591
                                                               3,959       310       X        28-4580      310
                                                             100,474     7,868       X      X 28-4580     7868
ISHARES INC                  MSCI UTD KINGD 464286699          4,894       227       X        28-5284      227
ISHARES INC                  MSCI FRANCE    464286707         22,921       656       X        28-5284      656
ISHARES INC                  MSCI TAIWAN    464286731        272,192    17,173       X        28-5284    17173
                                                              49,500     3,123       X      X 28-5284     3123
                                                              93,880     5,923       X        28-11135    5923
ISHARES INC                  MSCI SWITZERLD 464286749         12,940       500       X        28-5284      500
                                                             417,315    16,125       X      X 28-5284    15925               200
ISHARES INC                  MSCI SWEDEN    464286756         30,381     1,010       X      X 28-5284     1010
ISHARES INC                  MSCI SPAIN     464286764         20,511       334       X      X 28-5284      334
ISHARES INC                  MSCI S KOREA   464286772          3,013        54       X        28-5284       54
                                                             155,933     2,795       X      X 28-5284     2795
                                                              27,895       500       X        28-4580      500
ISHARES INC                  MSCI STH AFRCA 464286780         16,646       147       X      X 28-5284      147
   COLUMN TOTAL                                           74,572,618







                                                                                                                    FILE NO. 28-1235
PAGE 116 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES INC                  MSCI GERMAN    464286806          3,466       110       X        28-5284      110
                                                              60,814     1,930       X      X 28-5284     1930
                                                                 221         7       X        28-11135       7
ISHARES INC                  MSCI MEXICO    464286822         11,820       200       X      X 28-5284      200
ISHARES INC                  MSCI MALAYSIA  464286830        111,710     9,427       X      X 28-5284     9427
ISHARES INC                  MSCI JAPAN     464286848     26,171,716 2,115,741       X        28-5284  2113230              2511
                                                           5,480,331   443,034       X      X 28-5284   441534              1500
                                                               6,185       500       X        28-11135     500
                                                           2,293,645   185,420       X        28-4580   182420              3000
                                                           4,036,059   326,278       X      X 28-4580   318278              8000
ISHARES INC                  MSCI HONG KONG 464286871         17,591       980       X        28-5284      980
                                                              86,196     4,802       X      X 28-5284     4802
                                                               8,975       500       X        28-11135     500
                                                               7,557       421       X        28-4580      421
ISHARES TR                   S&P 100 IDX FD 464287101     17,366,467   283,072       X        28-5284   271244             11828
                                                           8,487,773   138,350       X      X 28-5284    38350            100000
                                                             319,695     5,211       X        28-4580     5211
                                                             397,793     6,484       X      X 28-4580     6484
ISHARES TR                   DJ SEL DIV INX 464287168     31,491,754   544,181       X        28-5284   537581              6600
                                                          18,713,248   323,367       X      X 28-5284   316405              6962
                                                           2,237,486    38,664       X        28-4580    34264              4400
                                                           1,093,859    18,902       X      X 28-4580    16902              2000
ISHARES TR                   US TIPS BD FD  464287176     18,141,193   165,070       X        28-5284   163916              1154
                                                           4,094,544    37,257       X      X 28-5284    36432       575     250
                                                             328,271     2,987       X        28-11135    2987
                                                           1,490,354    13,561       X        28-4580    12031              1530
                                                             633,683     5,766       X      X 28-4580     5266               500
ISHARES TR                   FTSE XNHUA IDX 464287184        532,992     3,944       X        28-5284     3944
                                                           1,728,441    12,790       X      X 28-5284    12455        70     265
                                                               6,757        50       X        28-11135      50
ISHARES TR                   TRANSP AVE IDX 464287192         64,103       750       X        28-5284      750
   COLUMN TOTAL                                          145,424,699







                                                                                                                    FILE NO. 28-1235
PAGE 117 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES TR                   S&P 500 INDEX  464287200    222,181,309 1,680,264       X        28-5284  1638074             42190
                                                          65,727,037   497,066       X      X 28-5284   442984     26966   27116
                                                           3,437,583    25,997       X        28-4580    25997
                                                           2,209,034    16,706       X      X 28-4580    11306      5400
ISHARES TR                   LEHMAN AGG BND 464287226     70,652,979   688,089       X        28-5284   684040              4049
                                                           9,980,804    97,203       X      X 28-5284    92647              4556
                                                           4,112,334    40,050       X        28-11135   40050
                                                             338,639     3,298       X        28-4580     3298
                                                              28,956       282       X      X 28-4580      282
ISHARES TR                   MSCI EMERG MKT 464287234     77,916,884   579,825       X        28-5284   565651             14174
                                                          40,394,628   300,600       X      X 28-5284   291612      2367    6621
                                                           1,701,788    12,664       X        28-4580    12664
                                                           1,272,041     9,466       X      X 28-4580     8272       900     294
ISHARES TR                   IBOXX INV CPBD 464287242     43,998,848   418,240       X        28-5284   416790              1450
                                                           8,631,239    82,046       X      X 28-5284    78349              3697
                                                               3,787        36       X        28-4580       36
ISHARES TR                   S&P GBL INF    464287291         28,846       510       X        28-5284      510
                                                              33,936       600       X      X 28-5284      600
ISHARES TR                   S&P500 GRW     464287309     35,347,000   563,748       X        28-5284   558964              4784
                                                           6,290,691   100,330       X      X 28-5284    86958             13372
                                                             266,600     4,252       X        28-4580     4252
ISHARES TR                   S&P GBL HLTHCR 464287325          6,566       125       X        28-5284      125
                                                              10,506       200       X      X 28-5284      200
                                                             845,733    16,100       X      X 28-4580    16100
ISHARES TR                   S&P GBL FIN    464287333         28,036       400       X        28-5284      400
                                                             147,189     2,100       X      X 28-5284     2100
ISHARES TR                   S&P GBL ENER   464287341        129,410       999       X        28-5284      999
                                                              92,492       714       X      X 28-5284      714
ISHARES TR                   S&P GSSI NATL  464287374     19,179,329   150,167       X        28-5284   148652              1515
                                                           4,626,785    36,226       X      X 28-5284    36226
                                                             932,739     7,303       X        28-11135    7303
                                                           4,401,487    34,462       X        28-4580    32462              2000
                                                           9,071,696    71,028       X      X 28-4580    70028              1000
   COLUMN TOTAL                                          634,026,931







                                                                                                                    FILE NO. 28-1235
PAGE 118 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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 LTN AM 40  464287390      2,747,453    10,881       X        28-5284    10881
                                                           3,447,635    13,654       X      X 28-5284    12975       443     236
                                                              72,468       287       X      X 28-4580      287
ISHARES TR                   S&P 500 VALUE  464287408     24,446,290   353,066       X        28-5284   343942              9124
                                                           3,490,111    50,406       X      X 28-5284    37506       400   12500
                                                             161,121     2,327       X        28-4580     2327
                                                             276,960     4,000       X      X 28-4580     2000              2000
ISHARES TR                   20+ YR TRS BD  464287432      6,718,245    70,062       X        28-5284    70062
                                                             170,109     1,774       X      X 28-5284     1774
ISHARES TR                   7-10 YR TRS BD 464287440      5,324,347    58,069       X        28-5284    58069
                                                           1,105,598    12,058       X      X 28-5284    12058
                                                             256,732     2,800       X        28-11439    2800
                                                              41,444       452       X        28-4580      452
ISHARES TR                   1-3 YR TRS BD  464287457     17,850,576   211,914       X        28-5284   211538       376
                                                           3,029,849    35,969       X      X 28-5284    35874                95
                                                             616,937     7,324       X        28-4580     7324
ISHARES TR                   MSCI EAFE IDX  464287465    402,116,137 5,592,714       X        28-5284  5456752            135962
                                                         214,855,103 2,988,249       X      X 28-5284  2784759     11430  192060
                                                           3,420,499    47,573       X        28-11135   47573
                                                           3,788,555    52,692       X        28-4580    52692
                                                           3,186,105    44,313       X      X 28-4580    37613      6700
ISHARES TR                   RUSSELL MCP VL 464287473     23,859,287   185,531       X        28-5284   179679              5852
                                                           7,611,577    59,188       X      X 28-5284    54858              4330
                                                             292,565     2,275       X        28-4580     2275
                                                             165,508     1,287       X      X 28-4580     1287
ISHARES TR                   RUSSELL MCP GR 464287481     27,345,023   269,941       X        28-5284   262186              7755
                                                           9,167,346    90,497       X      X 28-5284    84377      2700    3420
                                                             650,650     6,423       X        28-4580     6423
                                                             814,452     8,040       X      X 28-4580     8040
ISHARES TR                   RUSSELL MIDCAP 464287499     34,941,206   373,503       X        28-5284   368195              5308
                                                           9,933,045     106,179     X      X 28-5284   103811       845    1523
                                                             595,072     6,361       X        28-4580     6361
                                                             391,694     4,187       X      X 28-4580     4187
   COLUMN TOTAL                                          812,889,699







                                                                                                                    FILE NO. 28-1235
PAGE 119 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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     36,223,186   465,953       X        28-5284   393801             72152
                                                          11,498,290   147,907       X      X 28-5284   134807      3148    9952
                                                             123,995     1,595       X        28-4580     1595
                                                             293,080     3,770       X      X 28-4580      370      3400
ISHARES TR                   S&P GSTI SOFTW 464287515        199,628     4,454       X        28-5284     4454
                                                              29,133       650       X      X 28-5284      650
                                                              17,569       392       X        28-4580      392
ISHARES TR                   S&P GSTI SEMIC 464287523        187,634     3,786       X        28-5284     3786
                                                              37,170       750       X      X 28-5284      750
                                                               7,484       151       X        28-4580      151
ISHARES TR                   S&P GSTI TECHN 464287549         25,604       505       X        28-5284      505
                                                             212,940     4,200       X      X 28-5284     4200
ISHARES TR                   NASDQ BIO INDX 464287556      2,926,548    38,619       X        28-5284    36619              2000
                                                           1,466,040    19,346       X      X 28-5284    19346
                                                              75,856     1,001       X        28-4580     1001
                                                               9,018       119       X      X 28-4580      119
ISHARES TR                   COHEN&ST RLTY  464287564     24,855,302   309,184       X        28-5284   307804              1380
                                                           8,697,153   108,187       X      X 28-5284   106411       140    1636
                                                              44,697       556       X        28-4580      556
                                                              20,339       253       X      X 28-4580      253
ISHARES TR                   S&P GLB100INDX 464287572         25,515       350       X        28-5284      350
                                                              21,870       300       X      X 28-5284      300
                                                           1,800,630    24,700       X        28-11439   24700
ISHARES TR                   CONS SRVC IDX  464287580          4,661        81       X      X 28-5284       81
ISHARES TR                   RUSSELL1000VAL 464287598     72,476,934   986,752       X        28-5284   949009             37743
                                                          12,946,003   176,256       X      X 28-5284   175216              1040
                                                           2,785,665    37,926       X        28-11135   37926
                                                             125,746     1,712       X        28-4580     1712
                                                             161,149     2,194       X      X 28-4580     2194
ISHARES TR                   S&P MC 400 GRW 464287606     13,706,070   168,152       X        28-5284   166784              1368
                                                           4,600,669    56,443       X      X 28-5284    53122       212    3109
                                                             110,528     1,356       X        28-4580     1356
                                                             126,177     1,548       X      X 28-4580     1548
   COLUMN TOTAL                                          195,842,283







                                                                                                                    FILE NO. 28-1235
PAGE 120 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES TR                   RUSSELL1000GRW 464287614     92,321,747 1,695,844       X        28-5284  1628584             67260
                                                          34,710,563   637,593       X      X 28-5284   514947            122646
                                                           1,123,043    20,629       X        28-11135   20629
                                                           2,150,217    39,497       X        28-4580    39497
                                                             896,463    16,467       X      X 28-4580    15568               899
ISHARES TR                   RUSSELL 1000   464287622     64,515,386   896,296       X        28-5284   896296
                                                           3,656,296    50,796       X      X 28-5284    50316               480
                                                             791,996    11,003       X        28-4580    11003
                                                           1,563,909    21,727       X      X 28-4580    21727
ISHARES TR                   RUSL 2000 VALU 464287630     19,933,936   304,010       X        28-5284   301468              2542
                                                           5,759,997    87,845       X      X 28-5284    87720               125
                                                             344,898     5,260       X        28-11135    5260
                                                             219,791     3,352       X        28-4580     3352
                                                             130,288     1,987       X      X 28-4580     1987
ISHARES TR                   RUSL 2000 GROW 464287648     23,397,365   322,945       X        28-5284   316264              6681
                                                           5,327,611    73,535       X      X 28-5284    68416      1638    3481
                                                             464,839     6,416       X        28-11135    6416
                                                             198,368     2,738       X        28-4580     2738
                                                              62,379       861       X      X 28-4580      861
ISHARES TR                   RUSSELL 2000   464287655     70,877,235 1,037,886       X        28-5284  1024686             13200
                                                          26,800,342   392,449       X      X 28-5284   380299      2195    9955
                                                             751,736    11,008       X        28-11135   11008
                                                           1,129,926    16,546       X        28-4580    16546
                                                           1,375,361    20,140       X      X 28-4580    16340      3800
ISHARES TR                   RUSL 3000 VALU 464287663      2,807,134    29,680       X        28-5284    29680
                                                              27,996       296       X      X 28-5284      296
ISHARES TR                   RUSL 3000 GROW 464287671        289,928     6,555       X        28-5284     6555
                                                              96,687     2,186       X      X 28-5284     2186
ISHARES TR                   RUSSELL 3000   464287689     19,061,417   250,117       X        28-5284   249937               180
                                                           2,121,686    27,840       X      X 28-5284    27840
                                                              36,962       485       X        28-4580      485
ISHARES TR                   DJ US UTILS    464287697        293,964     3,197       X        28-5284     3197
                                                             603,284     6,561       X      X 28-5284     6461       100
                                                              18,390       200       X        28-4580      200
   COLUMN TOTAL                                          383,861,140







                                                                                                                    FILE NO. 28-1235
PAGE 121 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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     23,583,213   322,925       X        28-5284   322535               390
                                                           3,248,667    44,484       X      X 28-5284    41579       884    2021
                                                             143,431     1,964       X        28-4580     1964
ISHARES TR                   DJ US TELECOMM 464287713        928,280    39,721       X        28-5284    39385               336
                                                             566,232    24,229       X      X 28-5284    23954       275
                                                              30,381     1,300       X        28-4580     1300
                                                               6,310       270       X      X 28-4580      270
ISHARES TR                   DJ US TECH SEC 464287721      5,246,955    99,942       X        28-5284    98843              1099
                                                           4,471,425    85,170       X      X 28-5284    84388       507     275
ISHARES TR                   DJ US REAL EST 464287739      1,450,949    22,288       X        28-5284    22288
                                                             772,867    11,872       X      X 28-5284    11872
                                                               6,510       100       X        28-4580      100
ISHARES TR                   DJ US INDUSTRL 464287754         54,744       800       X        28-5284      800
ISHARES TR                   DJ US HEALTHCR 464287762      4,883,233    77,982       X        28-5284    77922                60
                                                           3,338,084    53,307       X      X 28-5284    53307
                                                               5,323        85       X        28-4580       85
ISHARES TR                   DJ US FINL SVC 464287770        859,777     9,895       X        28-5284     9000               895
                                                             390,831     4,498       X      X 28-5284     3298              1200
ISHARES TR                   DJ US FINL SEC 464287788      1,259,615    15,427       X        28-5284    14971               456
                                                             884,596    10,834       X      X 28-5284    10114               720
                                                              40,907       501       X        28-4580      501
ISHARES TR                   DJ US ENERGY   464287796      1,122,737     8,723       X        28-5284     8723
                                                           1,290,060    10,023       X      X 28-5284     9923               100
                                                             147,373     1,145       X      X 28-4580     1145
ISHARES TR                   S&P SMLCAP 600 464287804     16,388,997   273,469       X        28-5284   264292              9177
                                                           7,950,434   132,662       X      X 28-5284   129797      1525    1340
                                                              82,823     1,382       X        28-4580     1382
                                                              42,550       710       X      X 28-4580      710
ISHARES TR                   CONS GOODS IDX 464287812         60,580     1,000       X      X 28-5284     1000
ISHARES TR                   DJ US BAS MATL 464287838        651,206     8,774       X        28-5284     8774
                                                             424,167     5,715       X      X 28-5284     5360        80     275
   COLUMN TOTAL                                           80,333,257







                                                                                                                    FILE NO. 28-1235
PAGE 122 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES TR                   DJ US INDEX FD 464287846        368,475     5,719       X        28-5284     5719
                                                             278,338     4,320       X      X 28-5284     4320
ISHARES TR                   S&P EURO PLUS  464287861      6,651,018    63,337       X        28-5284    61536              1801
                                                           1,887,975    17,979       X      X 28-5284    17979
                                                           1,124,552    10,709       X        28-4580    10709
                                                           2,516,040    23,960       X      X 28-4580    23960
ISHARES TR                   S&P SMLCP VALU 464287879      5,934,361    90,684       X        28-5284    59680             31004
                                                           2,329,533    35,598       X      X 28-5284    33258        75    2265
                                                             119,297     1,823       X        28-4580     1823
                                                               4,254        65       X      X 28-4580       65
ISHARES TR                   S&P SMLCP GROW 464287887     12,479,974   100,938       X        28-5284    97848              3090
                                                           4,603,364    37,232       X      X 28-5284    36478        44     710
                                                              97,799       791       X        28-4580      791
                                                              17,433       141       X      X 28-4580      141
ISHARES TR                   MSCI SMALL CAP 464288273          5,100       110       X      X 28-5284      110
ISHARES TR                   MID GRWTH INDX 464288307         17,452       200       X        28-5284      200
                                                              20,070       230       X        28-4580      230
ISHARES TR                   S&P NATL MUN B 464288414      8,703,175    87,084       X        28-5284    86584               500
                                                           2,277,633    22,790       X      X 28-5284    22790
                                                             349,790     3,500       X      X 28-4580     3500
ISHARES TR                   HIGH YLD CORP  464288513         20,010       207       X        28-11135     207
ISHARES TR                   MBS FIXED BDFD 464288588         12,502       121       X        28-4580      121
ISHARES TR                   LEHMAN INTER G 464288612        608,714     5,790       X        28-5284     5790
ISHARES TR                   LEHMAN INTER C 464288638         11,121       109       X        28-4580      109
ISHARES TR                   LEHMAN 1-3 YR  464288646         51,560       500       X        28-5284      500
                                                              90,230       875       X      X 28-5284      875
                                                              10,621       103       X        28-4580      103
ISHARES TR                   LEHMAN 10-20YR 464288653          2,172        20       X        28-4580       20
ISHARES TR                   US PFD STK IDX 464288687         55,289     1,300       X        28-5284      300              1000
   COLUMN TOTAL                                           50,647,852







                                                                                                                    FILE NO. 28-1235
PAGE 123 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ISHARES TR                   S&G GL MATERIA 464288695         37,546       495       X      X 28-5284      295               200
ISHARES TR                   DJ HOME CONSTN 464288752          4,018       200       X        28-5284      200
ISHARES TR                   DJ AEROSPACE   464288760          3,249        55       X      X 28-5284       55
                                                              12,523       212       X        28-4580      212
ISHARES TR                   DJ REGIONAL BK 464288778      1,379,133    39,080       X        28-5284    36030              3050
                                                             140,101     3,970       X      X 28-5284     3970
ISHARES TR                   KLD SL SOC INX 464288802      8,091,059   145,890       X        28-5284   141290              4600
                                                           1,183,017    21,331       X      X 28-5284    17831              3500
ISHARES TR                   DJ MED DEVICES 464288810         11,360       200       X      X 28-5284      200
                                                              16,131       284       X        28-4580      284
ISHARES TR                   DJ PHARMA INDX 464288836         26,263       546       X        28-4580      546
ISHARES TR                   DJ OIL EQUIP   464288844         43,036       700       X        28-5284      700
ISHARES TR                   DJ OIL&GAS EXP 464288851         34,475       500       X        28-5284      500
ISHARES TR                   MSCI VAL IDX   464288877      2,281,841    34,816       X        28-5284    34816
                                                           1,455,840    22,213       X      X 28-5284    22213
ISHARES TR                   MSCI GRW IDX   464288885      5,744,019    79,469       X        28-5284    78234              1235
                                                           4,378,939    60,583       X      X 28-5284    59421              1162
ISIS PHARMACEUTICALS INC     COM            464330109        167,909    11,900       X        28-5284    11900
                                                             208,870    14,803       X      X 28-5284    14303               500
ITERIS INC                   COM            46564T107          2,356     1,020       X      X 28-5284               1020
ITRON INC                    COM            465741106         51,431       570       X        28-5284      340               230
                                                             117,840     1,306       X        28-11135    1306
I2 TECHNOLOGIES INC          COM NEW        465754208        365,015    32,417       X        28-11135   32417
IVANHOE MINES LTD            COM            46579N103          3,767       365       X        28-5284      365
                                                               6,863       665       X        28-4580      665
IVANHOE ENERGY INC           COM            465790103          1,830     1,000       X      X 28-5284     1000
   COLUMN TOTAL                                           25,768,431







                                                                                                                    FILE NO. 28-1235
PAGE 124 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
J & J SNACK FOODS CORP       COM            466032109          3,022       110       X        28-5284                        110
JA SOLAR HOLDINGS CO LTD     SPON ADR       466090107          5,580       300       X        28-5284      300
                                                             805,845    43,325       X      X 28-5284    43325
JDS UNIPHASE CORP            COM PAR $0.001 46612J507         22,415     1,674       X        28-5284     1674
                                                              10,444       780       X      X 28-5284      780
JER INVT TR INC              COM            46614H301         12,754     1,504       X        28-5284     1504
JP MORGAN CHASE & CO         COM            46625H100    125,393,341 2,919,519       X        28-5284  2779922      2628  136969
                                                          89,234,080 2,077,627       X      X 28-5284  1864089     24665  188873
                                                             395,956     9,219       X        28-11135    9219
                                                           1,650,053    38,418       X        28-4580    37650               768
                                                             926,174    21,564       X      X 28-4580    20515      1049
J2 GLOBAL COMMUNICATIONS INC COM NEW        46626E205          3,839       172       X        28-5284      172
                                                              46,716     2,093       X        28-11135    2093
JABIL CIRCUIT INC            COM            466313103      9,858,815 1,042,158       X        28-5284   931377            110781
                                                           1,257,792   132,959       X      X 28-5284   121597             11362
                                                               2,838       300       X      X 28-4580      300
JACK IN THE BOX INC          COM            466367109         16,713       622       X        28-5284      142               480
JACOBS ENGR GROUP INC DEL    COM            469814107      5,005,665    68,021       X        28-5284    67270               751
                                                           3,386,906    46,024       X      X 28-5284    39858       400    5766
                                                              27,302       371       X        28-11135     371
                                                              10,155       138       X        28-4580      138
                                                              50,041       680       X      X 28-4580      680
JAKKS PAC INC                COM            47012E106          6,065       220       X        28-5284                        220
                                                             273,301     9,913       X        28-11135    9913
JANUS CAP GROUP INC          COM            47102X105        111,696     4,800       X        28-5284     4800
                                                               8,145       350       X      X 28-5284                        350
                                                             169,801     7,297       X        28-11135    7297
JARDEN CORP                  COM            471109108        589,154    27,100       X      X 28-5284    27000               100
                                                                 848        39       X        28-11135      39
                                                              43,480     2,000       X        28-4580                       2000
   COLUMN TOTAL                                          239,328,936







                                                                                                                    FILE NO. 28-1235
PAGE 125 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
JEFFERIES GROUP INC NEW      COM            472319102          1,371        85       X        28-5284       85
JETBLUE AWYS CORP            NOTE  3.500% 7 477143AB7        682,500     7,000       X        28-4580     7000
JETBLUE AWYS CORP            COM            477143101            974       168       X        28-5284      168
JOHNSON & JOHNSON            COM            478160104    332,708,694 5,128,853       X        28-5284  4898374            230479
                                                         273,440,024 4,215,200       X      X 28-5284  3839891     29199  346110
                                                           1,263,278    19,474       X        28-11135   19474
                                                           5,966,548    91,977       X        28-4580    91487               490
                                                           8,740,000   134,731       X      X 28-4580   128704              6027
JOHNSON CTLS INC             COM            478366107     22,300,530   659,779       X        28-5284   638884             20895
                                                          12,788,568   378,360       X      X 28-5284   347362       180   30818
                                                              95,823     2,835       X        28-11135    2835
                                                              23,423       693       X        28-4580      693
                                                              86,494     2,559       X      X 28-4580     2559
JONES APPAREL GROUP INC      COM            480074103         88,639     6,605       X        28-5284      130              6475
                                                              12,078       900       X      X 28-5284      900
JONES LANG LASALLE INC       COM            48020Q107          1,160        15       X        28-11135      15
JONES SODA CO                COM            48023P106          3,490     1,000       X        28-5284     1000
                                                               3,665     1,050       X      X 28-5284     1050
JOS A BANK CLOTHIERS INC     COM            480838101         56,519     2,757       X        28-5284      757              2000
                                                              34,850     1,700       X      X 28-5284     1700
JOURNAL REGISTER CO          COM            481138105            199       361       X        28-5284      361
JOY GLOBAL INC               COM            481165108         94,352     1,448       X        28-5284     1164               284
                                                           1,772,352    27,200       X      X 28-5284    26900               300
JUNIPER NETWORKS INC         COM            48203R104        206,975     8,279       X        28-5284     8279
                                                             182,550     7,302       X      X 28-5284     7302
KBR INC                      COM            48242W106        202,096     7,288       X        28-5284     5483              1805
                                                             613,499    22,124       X      X 28-5284    17268              4856
KBW INC                      COM            482423100         44,100     2,000       X        28-5284     2000
                                                               4,410       200       X      X 28-5284      200
   COLUMN TOTAL                                          661,419,161







                                                                                                                    FILE NO. 28-1235
PAGE 126 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
KHD HUMBOLDT WEDAG INTL LTD  COM            482462108          4,872       200       X        28-5284      200
                                                              12,302       505       X      X 28-5284                505
KKR FINANCIAL HLDGS LLC      COM            48248A306         15,116     1,194       X        28-5284                       1194
                                                               6,330       500       X      X 28-5284                        500
KLA-TENCOR CORP              COM            482480100         84,959     2,290       X        28-5284     2290
                                                              11,761       317       X      X 28-5284      317
                                                             775,242    20,896       X        28-11135   20896
KT CORP                      SPONSORED ADR  48268K101         17,979       757       X        28-5284      757
                                                             110,414     4,649       X        28-11135    4649
                                                               7,244       305       X        28-4580      305
K SEA TRANSN PARTNERS LP     COM            48268Y101         17,650       500       X        28-5284      500
K-SWISS INC                  CL A           482686102          3,164       200       X        28-5284                        200
K TRON INTL INC              COM            482730108         17,896       149       X        28-5284      149
                                                             374,263     3,116       X      X 28-5284     1426              1690
K V PHARMACEUTICAL CO        CL A           482740206          7,488       300       X        28-5284      300
                                                              57,807     2,316       X        28-11135    2316
KAISER ALUMINUM CORP         COM PAR $0.01  483007704        411,018     5,931       X        28-11135    5931
KAMAN CORP                   COM            483548103         16,606       587       X        28-5284      397               190
KANSAS CITY SOUTHERN         COM NEW        485170302          4,011       100       X        28-5284      100
                                                             455,048    11,345       X      X 28-5284      145             11200
KAYDON CORP                  COM            486587108         10,978       250       X      X 28-5284      250
                                                             476,380    10,849       X        28-11135   10849
KAYNE ANDERSON ENRGY TTL RT  COM            48660P104         20,296       800       X        28-5284      800
                                                              30,444     1,200       X      X 28-5284     1200
KAYNE ANDERSON ENERGY DEV CO COM            48660Q102         29,880     1,200       X      X 28-5284     1200
KAYNE ANDERSON MLP INVSMNT C COM            486606106        380,083    12,950       X      X 28-5284    12950
                                                              36,511     1,244       X      X 28-4580     1244
   COLUMN TOTAL                                            3,395,742







                                                                                                                    FILE NO. 28-1235
PAGE 127 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
KB HOME                      COM            48666K109        226,032     9,140       X        28-5284       12              9128
                                                              12,365       500       X      X 28-5284      500
KEITHLEY INSTRS INC          COM            487584104            776        80       X        28-5284                         80
KELLOGG CO                   COM            487836108      4,079,339    77,613       X        28-5284    67199             10414
                                                           2,960,179    56,320       X      X 28-5284    50428       425    5467
                                                              88,038     1,675       X        28-4580     1675
                                                              63,072     1,200       X      X 28-4580                       1200
KEMET CORP                   COM            488360108          4,040     1,000       X        28-5284     1000
KENEXA CORP                  COM            488879107        283,021    15,315       X        28-11135   15315
KENNAMETAL INC               COM            489170100         33,432     1,136       X        28-5284     1136
                                                             640,868    21,776       X      X 28-5284    21776
                                                              94,941     3,226       X        28-11135    3226
KENSEY NASH CORP             COM            490057106             29         1       X        28-11135       1
KEY ENERGY SVCS INC          COM            492914106         40,260     3,000       X      X 28-5284                       3000
KEYCORP NEW                  COM            493267108        815,047    37,132       X        28-5284    19938             17194
                                                             448,746    20,444       X      X 28-5284    17069       575    2800
KEYNOTE SYS INC              COM            493308100         42,444     3,600       X      X 28-5284               3600
KILROY RLTY CORP             COM            49427F108         12,769       260       X        28-5284                        260
                                                              43,708       890       X      X 28-5284      890
                                                               1,866        38       X        28-11135      38
KIMBERLY CLARK CORP          COM            494368103     28,533,747   442,041       X        28-5284   409412             32629
                                                          34,234,673   530,359       X      X 28-5284   513699      4400   12260
                                                           1,074,435    16,645       X        28-11135   16645
                                                             141,881     2,198       X        28-4580     2198
                                                             338,629     5,246       X      X 28-4580     5246
KIMCO REALTY CORP            COM            49446R109      1,659,359    42,363       X        28-5284    42363
                                                           2,064,651    52,710       X      X 28-5284    45310              7400
                                                             146,888     3,750       X      X 28-4580     3750
   COLUMN TOTAL                                           78,085,315







                                                                                                                    FILE NO. 28-1235
PAGE 128 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
KINDER MORGAN MANAGEMENT LLC SHS            49455U100        111,369     2,185       X        28-5284     2185
                                                              17,330       340       X      X 28-5284      340
KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106      2,707,100    49,499       X        28-5284    49499
                                                           6,883,502   125,864       X      X 28-5284   116759      2200    6905
KINDRED HEALTHCARE INC       COM            494580103            175         8       X      X 28-5284        8
KINETIC CONCEPTS INC         COM NEW        49460W208        684,666    14,810       X        28-5284    10295              4515
                                                           1,081,320    23,390       X      X 28-5284    18790              4600
                                                               9,246       200       X      X 28-4580      200
KING PHARMACEUTICALS INC     COM            495582108          8,378       963       X        28-5284      963
                                                             176,175    20,250       X      X 28-5284    20250
                                                              54,941     6,315       X        28-11135    6315
KINROSS GOLD CORP            COM NO PAR     496902404         92,751     4,195       X        28-5284     4195
                                                              35,376     1,600       X      X 28-5284     1600
                                                              16,384       741       X        28-4580      741
KIRBY CORP                   COM            497266106        193,686     3,398       X        28-5284                       3398
KNIGHT CAPITAL GROUP INC     CL A           499005106         16,240     1,000       X        28-5284     1000
KNIGHT TRANSN INC            COM            499064103         48,886     2,970       X        28-5284               2970
KNOLOGY INC                  COM            499183804      1,045,997    80,772       X        28-5284        5             80767
KNOT INC                     COM            499184109          1,175       100       X        28-5284      100
                                                             103,988     8,850       X      X 28-5284     4425              4425
KODIAK OIL & GAS CORP        COM            50015Q100          5,010     3,000       X      X 28-5284     3000
KOHLBERG CAPITAL CORP        COM            500233101         41,520     4,000       X        28-5284                       4000
KOHLS CORP                   COM            500255104     15,432,937   359,826       X        28-5284   317301       650   41875
                                                           3,614,726    84,279       X      X 28-5284    72559             11720
                                                             804,273    18,752       X        28-11135   18752
KONGZHONG CORP               SPONSORED ADR  50047P104          2,165       500       X      X 28-5284      500
                                                               8,660     2,000       X        28-4580     2000
   COLUMN TOTAL                                           33,197,976







                                                                                                                    FILE NO. 28-1235
PAGE 129 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
KONINKLIJKE PHILIPS ELECTRS  NY REG SH NEW  500472303        452,489    11,802       X        28-5284    11802
                                                             227,049     5,922       X      X 28-5284     2146              3776
                                                               1,534        40       X        28-11135      40
KOOKMIN BK NEW               SPONSORED ADR  50049M109         81,160     1,448       X        28-5284     1448
                                                                 224         4       X      X 28-5284        4
                                                              42,262       754       X        28-11135     754
KOPPERS HOLDINGS INC         COM            50060P106         22,155       500       X        28-5284      500
                                                             703,067    15,867       X      X 28-5284    15867
KOPIN CORP                   COM            500600101          1,091       410       X        28-5284                        410
KOREA EQUITY FD INC          COM            50063B104          9,756       900       X        28-5284      900
KOREA ELECTRIC PWR           SPONSORED ADR  500631106         39,224     2,608       X        28-5284     2608
                                                              60,160     4,000       X      X 28-5284     4000
                                                               2,060       137       X        28-11135     137
                                                               4,211       280       X        28-4580      280
KOREA FD                     COM            500634100          2,236       100       X        28-5284      100
KORN FERRY INTL              COM NEW        500643200         20,280     1,200       X        28-5284     1200
                                                              65,065     3,850       X      X 28-5284     3850
KRAFT FOODS INC              CL A           50075N104     23,727,860   765,168       X        28-5284   727391             37777
                                                          94,156,407 3,036,324       X      X 28-5284  2978778      2464   55082
                                                             994,956    32,085       X        28-11135   32085
                                                             876,405    28,262       X        28-4580    26809              1453
                                                             613,316    19,778       X      X 28-4580    19778
KRISPY KREME DOUGHNUTS INC   COM            501014104            305       100       X      X 28-5284      100
KROGER CO                    COM            501044101      1,062,152    41,817       X        28-5284    34017              7800
                                                             804,926    31,690       X      X 28-5284    31690
                                                             136,119     5,359       X        28-11135    5359
                                                              19,482       767       X        28-4580      767
KRONOS WORLDWIDE INC         COM            50105F105          6,351       263       X        28-5284      263
KUBOTA CORP                  ADR            501173207          8,192       263       X        28-5284      263
                                                                 467        15       X      X 28-5284       15
   COLUMN TOTAL                                          124,140,961







                                                                                                                    FILE NO. 28-1235
PAGE 130 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
KULICKE & SOFFA INDS INC     COM            501242101          4,111       860       X        28-5284      500               360
KYOCERA CORP                 ADR            501556203         33,792       402       X        28-11135     402
LCA-VISION INC               COM PAR $.001  501803308         23,788     1,903       X        28-11135    1903
LDK SOLAR CO LTD             SPONSORED ADR  50183L107            486        18       X        28-4580       18
LHC GROUP INC                COM            50187A107          2,671       159       X        28-5284      159
LKQ CORP                     COM            501889208          4,494       200       X        28-5284      200
                                                              62,916     2,800       X      X 28-5284     2800
LL & E RTY TR                UNIT BEN INT   502003106          1,404       650       X        28-5284      650
                                                               5,724     2,650       X      X 28-5284     2650
LMI AEROSPACE INC            COM            502079106          9,685       500       X        28-5284      500
LSB CORP                     COM            50215P100        267,920    17,000       X      X 28-5284    17000
LSB INDS INC                 COM            502160104         23,584     1,600       X      X 28-5284     1600
LSI CORPORATION              COM            502161102         25,522     5,156       X        28-5284     5156
                                                              50,188    10,139       X      X 28-5284     1410              8729
                                                                  10         2       X        28-11135       2
                                                               6,564     1,326       X        28-4580     1326
LTC PPTYS INC                COM            502175102         69,417     2,700       X        28-5284     2700
                                                              60,367     2,348       X        28-11135    2348
L-3 COMMUNICATIONS HLDGS INC COM            502424104      3,205,630    29,318       X        28-5284    21518              7800
                                                           1,600,410    14,637       X      X 28-5284     7537       150    6950
                                                             545,935     4,993       X        28-11135    4993
LA Z BOY INC                 COM            505336107          2,836       340       X        28-5284                        340
LABORATORY CORP AMER HLDGS   COM NEW        50540R409        179,190     2,432       X        28-5284     2432
                                                             910,464    12,357       X      X 28-5284     9057              3300
                                                             683,014     9,270       X        28-11135    9270
                                                             133,140     1,807       X      X 28-4580     1807
LACLEDE GROUP INC            COM            505597104         55,939     1,570       X        28-5284     1400               170
                                                              14,252       400       X      X 28-5284      400
   COLUMN TOTAL                                            7,983,453







                                                                                                                    FILE NO. 28-1235
PAGE 131 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LADENBURG THALMAN FIN SVCS I COM            50575Q102          9,350     5,000       X        28-5284     5000
LADISH INC                   COM NEW        505754200         18,000       500       X        28-5284      500
LAKELAND BANCORP INC         COM            511637100        230,335    17,814       X        28-5284    17814
LAKELAND FINL CORP           COM            511656100        103,964     4,590       X        28-11135    4590
LAM RESEARCH CORP            COM            512807108      1,041,571    27,252       X        28-5284    27252
                                                             688,610    18,017       X      X 28-5284    16807              1210
                                                               9,861       258       X        28-11135     258
                                                             107,819     2,821       X        28-4580     2821
LAMAR ADVERTISING CO         CL A           512815101          1,078        30       X        28-5284       30
                                                              79,046     2,200       X      X 28-5284     2200
LANCE INC                    COM            514606102          4,116       210       X        28-5284                        210
LANDAUER INC                 COM            51476K103         33,375       663       X        28-5284      663
                                                              28,946       575       X      X 28-5284      575
LANDAMERICA FINL GROUP INC   COM            514936103         35,760       906       X        28-5284                        906
                                                               7,381       187       X      X 28-5284      187
LANDSTAR SYS INC             COM            515098101         22,742       436       X        28-5284       26               410
                                                                 261         5       X      X 28-5284        5
                                                             131,391     2,519       X        28-11135    2519
LAS VEGAS SANDS CORP         COM            517834107      1,585,837    21,535       X        28-5284    18535              3000
                                                              28,499       387       X      X 28-5284      387
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108        279,974     9,745       X        28-5284     9745
                                                              16,376       570       X      X 28-5284      570
LATIN AMER EQUITY FD INC NEW COM            51827Q106          3,393        75       X        28-5284       75
LAUDER ESTEE COS INC         CL A           518439104        307,012     6,696       X        28-5284     6696
                                                              26,043       568       X      X 28-5284      568
LAWSON PRODS INC             COM            520776105          1,378        50       X        28-5284                         50
LAYNE CHRISTENSEN CO         COM            521050104         87,235     2,491       X        28-11135    2491
   COLUMN TOTAL                                            4,889,353







                                                                                                                    FILE NO. 28-1235
PAGE 132 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LAZARD WORLD DIVID & INCOME  COM            521076109          9,963       598       X        28-5284      598
LEADIS TECHNOLOGY INC        COM            52171N103        367,779   190,559       X      X 28-5284             190559
LEAPFROG ENTERPRISES INC     CL A           52186N106            705       100       X        28-5284      100
LEAP WIRELESS INTL INC       COM NEW        521863308          1,398        30       X        28-5284       30
LEAR CORP                    COM            521865105          2,461        95       X        28-5284       95
                                                              10,105       390       X        28-4580      390
LEE ENTERPRISES INC          COM            523768109         17,017     1,700       X        28-5284                       1700
LEGACY BANCORP INC           CL A           52463G105          6,985       500       X      X 28-5284      500
LEGGETT & PLATT INC          COM            524660107        110,258     7,230       X        28-5284      230              7000
                                                             723,918    47,470       X      X 28-5284    45775              1695
LEGACY RESERVES LP           UNIT LP INT    524707304         14,970       750       X      X 28-5284      750
LEGG MASON INC               COM            524901105      6,315,608   112,819       X        28-5284    94003             18816
                                                           5,919,549   105,744       X      X 28-5284    87536       100   18108
                                                              31,349       560       X        28-4580      560
                                                               8,397       150       X      X 28-4580      150
LEHMAN BROS HLDGS INC        COM            524908100      4,730,595   125,680       X        28-5284   118985              6695
                                                           4,301,424   114,278       X      X 28-5284   106217       258    7803
                                                           1,161,345    30,854       X        28-11135   30854
                                                               4,705       125       X        28-4580      125
                                                             100,122     2,660       X      X 28-4580     2660
LEHMAN BR FIRST TR INCM OPP  COM            525178109         40,352     3,675       X      X 28-5284     1675              2000
LENNAR CORP                  CL A           526057104        119,067     6,330       X        28-5284      300              6030
                                                               9,443       502       X      X 28-5284      502
                                                               3,386       180       X        28-4580      180
LENNAR CORP                  CL B           526057302          1,173        68       X        28-5284       68
LENNOX INTL INC              COM            526107107         17,913       498       X        28-5284       18               480
                                                                 180         5       X      X 28-5284        5
                                                              15,791       439       X        28-11135     439
   COLUMN TOTAL                                           24,045,958







                                                                                                                    FILE NO. 28-1235
PAGE 133 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LENOX GROUP INC              COM            526262100            200       113       X        28-11135     113
LEUCADIA NATL CORP           COM            527288104        306,094     6,769       X        28-5284     6769
                                                           7,965,729   176,155       X      X 28-5284   147180     24000    4975
                                                              79,135     1,750       X        28-4580                       1750
LEVEL 3 COMMUNICATIONS INC   COM            52729N100         19,606     9,248       X        28-5284     9248
                                                              99,640    47,000       X      X 28-5284    47000
                                                              27,446    12,946       X      X 28-4580    12946
LEVITT CORP                  CL A           52742P108          8,484     4,285       X        28-4580     4285
LEXINGTON REALTY TRUST       COM            529043101         46,256     3,210       X        28-5284     3210
                                                             659,935    45,797       X      X 28-5284    32172             13625
                                                              70,580     4,898       X        28-11135    4898
LEXMARK INTL NEW             CL A           529771107         71,178     2,317       X        28-5284       17              2300
                                                              13,455       438       X      X 28-5284      438
LIBBEY INC                   COM            529898108          1,684       100       X        28-5284                        100
                                                              16,840     1,000       X      X 28-5284     1000
LIBERTY ALL STAR EQUITY FD   SH BEN INT     530158104         19,170     3,000       X      X 28-5284     3000
LIBERTY GLOBAL INC           COM SER A      530555101        539,657    15,835       X        28-5284     6219              9616
                                                           1,779,624    52,219       X      X 28-5284    41503             10716
                                                               1,704        50       X        28-11135      50
LIBERTY GLOBAL INC           COM SER C      530555309        906,712    27,916       X        28-5284     6347             21569
                                                           1,966,664    60,550       X      X 28-5284    41503       217   18830
                                                              14,161       436       X        28-11135     436
LIBERTY MEDIA CORP NEW       INT COM SER A  53071M104        732,143    45,362       X        28-5284    10462             34900
                                                           1,563,788    96,889       X      X 28-5284    75653      1086   20150
                                                               3,599       223       X        28-11135     223
LIBERTY MEDIA CORP NEW       CAP COM SER A  53071M302        290,560    18,460       X        28-5284     4185             14275
                                                             613,624    38,985       X      X 28-5284    34312       217    4456
                                                                 756        48       X        28-11135      48
                                                              11,805       750       X        28-4580                        750
   COLUMN TOTAL                                           17,830,229







                                                                                                                    FILE NO. 28-1235
PAGE 134 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LIBERTY MEDIA CORP NEW       ENT COM SER A  53071M500      1,352,332    59,732       X        28-5284    13332             46400
                                                           1,784,304    78,812       X      X 28-5284    62856       868   15088
                                                               4,347       192       X        28-11135     192
LIBERTY PPTY TR              SH BEN INT     531172104         41,252     1,326       X        28-5284     1326
                                                             721,099    23,179       X      X 28-5284    23179
LIFECELL CORP                COM            531927101          8,406       200       X      X 28-5284      200
                                                                 925        22       X        28-11135      22
LIFE TIME FITNESS INC        COM            53217R207         29,650       950       X      X 28-5284      950
LIFEPOINT HOSPITALS INC      COM            53219L109         44,721     1,628       X        28-5284     1597                31
                                                               5,604       204       X      X 28-5284      204
LIGAND PHARMACEUTICALS INC   CL B           53220K207            292        73       X        28-11135      73
LIHIR GOLD LTD               SPONSORED ADR  532349107          4,964       156       X        28-5284      156
                                                               2,036        64       X        28-11135      64
                                                              15,274       480       X        28-4580      480
LILLY ELI & CO               COM            532457108     28,239,489   547,383       X        28-5284   500846       977   45560
                                                          26,885,097   521,130       X      X 28-5284   463202             57928
                                                               8,151       158       X        28-11135     158
                                                             131,245     2,544       X        28-4580     2544
                                                             618,822    11,995       X      X 28-4580    11995
LIMITED BRANDS INC           COM            532716107        176,917    10,346       X        28-5284     1546              8800
                                                               2,445       143       X      X 28-5284       11               132
                                                             757,051    44,272       X        28-11135   44272
LINCARE HLDGS INC            COM            532791100         64,653     2,300       X        28-5284     2300
                                                              25,299       900       X      X 28-5284      900
LINCOLN EDL SVCS CORP        COM            533535100         12,000     1,000       X        28-5284     1000
LINCOLN ELEC HLDGS INC       COM            533900106         11,479       178       X        28-5284      178
                                                               1,032        16       X        28-11135      16
LINCOLN NATL CORP IND        COM            534187109      7,124,884   137,017       X        28-5284   109303             27714
                                                           8,804,848   169,324       X      X 28-5284   140718             28606
                                                               5,772       111       X      X 28-4580      111
   COLUMN TOTAL                                           76,884,390







                                                                                                                    FILE NO. 28-1235
PAGE 135 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LINDSAY CORP                 COM            535555106          9,222        90       X        28-5284                         90
LINEAR TECHNOLOGY CORP       COM            535678106      3,006,178    97,953       X        28-5284    95647              2306
                                                             383,287    12,489       X      X 28-5284    11789               700
LIONS GATE ENTMNT CORP       COM NEW        535919203          2,925       300       X        28-5284      300
                                                              62,400     6,400       X      X 28-5284     5400              1000
LINN ENERGY LLC              UNIT LTD LIAB  536020100         11,400       600       X        28-5284      600
                                                              39,900     2,100       X      X 28-5284      100              2000
LIONBRIDGE TECHNOLOGIES INC  COM            536252109         16,750     5,000       X      X 28-5284               5000
LITTELFUSE INC               COM            537008104          6,994       200       X      X 28-5284      200
LIVE NATION INC              COM            538034109            352        29       X        28-5284                         29
                                                               1,747       144       X      X 28-5284      144
                                                                  49         4       X        28-11135       4
LIZ CLAIBORNE INC            COM            539320101        344,469    18,979       X        28-5284    16504              2475
                                                             368,536    20,305       X      X 28-5284    19830       250     225
                                                               1,361        75       X        28-11135      75
                                                              14,520       800       X        28-4580      800
LLOYDS TSB GROUP PLC         SPONSORED ADR  539439109         32,274       899       X        28-5284      899
                                                             193,465     5,389       X      X 28-5284     5389
                                                             109,675     3,055       X        28-11135    3055
                                                              12,206       340       X        28-4580      340
LOCKHEED MARTIN CORP         COM            539830109     23,835,178   240,032       X        28-5284   229989             10043
                                                          15,835,073   159,467       X      X 28-5284   149071      1818    8578
                                                             241,994     2,437       X        28-11135    2437
                                                             296,212     2,983       X        28-4580     2983
                                                              63,552       640       X      X 28-4580      640
LODGENET INTERACTIVE CORP    COM            540211109          4,866       799       X        28-11135     799
LOEWS CORP                   COM            540424108         97,936     2,435       X        28-5284     2435
                                                             233,759     5,812       X      X 28-5284     1212              4600
                                                              10,658       265       X        28-4580      265
                                                              73,361     1,824       X      X 28-4580     1824
   COLUMN TOTAL                                           45,310,299







                                                                                                                    FILE NO. 28-1235
PAGE 136 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
LOEWS CORP                   CAROLNA GP STK 540424207            580         8       X        28-5284        8
                                                               5,224        72       X      X 28-5284       72
LONGS DRUG STORES CORP       COM            543162101         39,530       931       X        28-5284      400               531
                                                              21,230       500       X      X 28-5284                        500
LOOPNET INC                  COM            543524300         34,925     2,750       X      X 28-5284     2750
LORAL SPACE & COMMUNICATNS L COM            543881106            548        23       X        28-5284       23
LOUISIANA PAC CORP           COM            546347105         43,513     4,740       X        28-5284                       4740
                                                              39,584     4,312       X      X 28-5284     4312
LOWES COS INC                NOTE 10/1      548661CG0      9,247,694    10,000       X        28-11439   10000
LOWES COS INC                COM            548661107     17,609,616   767,638       X        28-5284   738365       460   28813
                                                          11,371,152   495,691       X      X 28-5284   472466       800   22425
                                                               8,603       375       X        28-11135     375
                                                             192,948     8,411       X        28-4580     8411
                                                             109,699     4,782       X      X 28-4580     4782
LUBRIZOL CORP                COM            549271104        846,694    15,253       X        28-5284    11283              3970
                                                             504,863     9,095       X      X 28-5284     8785               310
LUCENT TECHNOLOGIES INC      DBCV 2.750% 6  549463AG2      2,653,881     3,000       X        28-11439    3000
LUFKIN INDS INC              COM            549764108         25,528       400       X      X 28-5284                        400
LUMINEX CORP DEL             COM            55027E102        950,864    48,390       X        28-11135   48390
LUMINENT MTG CAP INC         COM            550278303            610     1,000       X        28-5284     1000
LUNDIN MINING CORP           COM            550372106          1,935       285       X        28-5284      285
                                                               5,588       823       X      X 28-5284      823
                                                             372,472    54,856       X        28-11135   54856
LUXOTTICA GROUP S P A        SPONSORED ADR  55068R202         43,451     1,727       X        28-11135    1727
LYDALL INC DEL               COM            550819106          1,260       110       X        28-5284                        110
M & F WORLDWIDE CORP         COM            552541104        112,170     3,000       X      X 28-5284               3000
   COLUMN TOTAL                                           44,244,162







                                                                                                                    FILE NO. 28-1235
PAGE 137 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
M & T BK CORP                COM            55261F104      3,339,679    41,497       X        28-5284    38165              3332
                                                           5,120,299    63,622       X      X 28-5284    59137              4485
                                                              70,018       870       X        28-4580      870
                                                             187,840     2,334       X      X 28-4580     2334
MBIA INC                     COM            55262C100        263,683    21,578       X        28-5284    20678               900
                                                             264,966    21,683       X      X 28-5284    21543               140
MB FINANCIAL INC NEW         COM            55264U108            462        15       X      X 28-5284                         15
M D C HLDGS INC              COM            552676108        104,921     2,396       X        28-5284                       2396
                                                               3,240        74       X      X 28-5284       74
MDU RES GROUP INC            COM            552690109        395,476    16,109       X        28-5284    15932               177
                                                             298,651    12,165       X      X 28-5284    12165
MEMC ELECTR MATLS INC        COM            552715104        765,720    10,800       X        28-5284     2781              8019
                                                           2,300,563    32,448       X      X 28-5284    32148               300
                                                           1,919,050    27,067       X        28-11135   27067
                                                               3,474        49       X        28-4580       49
MFS CHARTER INCOME TR        SH BEN INT     552727109        129,465    15,750       X        28-5284    15750
                                                             123,300    15,000       X      X 28-5284     1700             13300
MFS INTER INCOME TR          SH BEN INT     55273C107        131,652    20,700       X      X 28-5284                      20700
MFS MULTIMARKET INCOME TR    SH BEN INT     552737108        290,190    51,000       X      X 28-5284     1000             50000
MFS MUN INCOME TR            SH BEN INT     552738106         42,900     6,000       X        28-5284     6000
                                                              32,175     4,500       X      X 28-5284     2500              2000
MGE ENERGY INC               COM            55277P104         27,963       821       X        28-5284      821
                                                              27,248       800       X      X 28-5284      800
MGIC INVT CORP WIS           COM            552848103         32,053     3,044       X        28-5284                       3044
                                                             411,197    39,050       X      X 28-5284    39050
MFS GOVT MKTS INCOME TR      SH BEN INT     552939100         21,125     3,102       X        28-5284     3102
MGM MIRAGE                   COM            552953101        259,940     4,423       X        28-5284     4423
                                                             485,499     8,261       X      X 28-5284     8161       100
                                                               5,877       100       X        28-11135     100
   COLUMN TOTAL                                           17,058,626







                                                                                                                    FILE NO. 28-1235
PAGE 138 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MKS INSTRUMENT INC           COM            55306N104         83,460     3,900       X      X 28-5284     3900
MSC INDL DIRECT INC          CL A           553530106         23,238       550       X        28-5284      550
                                                              16,816       398       X        28-11135     398
MTS SYS CORP                 COM            553777103        158,074     4,900       X        28-5284     4900
                                                             422,767    13,105       X      X 28-5284      365             12740
                                                              88,909     2,756       X        28-11135    2756
MVC CAPITAL INC              COM            553829102          7,620       500       X        28-5284      500
MACERICH CO                  COM            554382101      1,304,914    18,570       X        28-5284    16490              2080
                                                             196,053     2,790       X      X 28-5284     2790
MACK CALI RLTY CORP          COM            554489104        272,289     7,625       X        28-5284     7625
                                                             462,980    12,965       X      X 28-5284    11965              1000
MACKINAC FINL CORP           COM            554571109        212,500    25,000       X      X 28-5284    25000
MACQUARIE FT TR GB INF UT DI COM            55607W100         25,539     1,199       X        28-5284     1199
MACQUARIE INFRASTR CO LLC    MEMBERSHIP INT 55608B105         72,825     2,500       X        28-5284     2500
                                                             224,301     7,700       X      X 28-5284     7700
MACQUARIE GLBL INFRA TOTL RE COM            55608D101          6,888       262       X        28-5284      262
                                                                  79         3       X      X 28-5284        3
MACYS INC                    COM            55616P104      2,281,349    98,931       X        28-5284    92169              6762
                                                           2,251,924    97,655       X      X 28-5284    91169              6486
                                                               2,859       124       X        28-11135     124
                                                              78,957     3,424       X        28-4580     3424
                                                               9,224       400       X      X 28-4580      400
MAG SILVER CORP              COM            55903Q104        955,500    75,000       X        28-5284    75000
                                                           2,866,500   225,000       X      X 28-5284   225000
MAGELLAN MIDSTREAM HLDGS LP  COM LP INTS    55907R108         43,529     1,900       X      X 28-5284      200              1700
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106        105,300     2,600       X        28-5284     2600
                                                             633,825    15,650       X      X 28-5284    11650      3400     600
MAGELLAN PETE CORP           COM            559091301        435,818   369,337       X      X 28-5284             369337
   COLUMN TOTAL                                           13,244,037







                                                                                                                    FILE NO. 28-1235
PAGE 139 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MAGMA DESIGN AUTOMATION      COM            559181102         26,337     2,752       X        28-11135    2752
MAGNA INTL INC               CL A           559222401         64,935       900       X        28-5284      200               700
                                                               2,453        34       X        28-11135      34
MAGNETEK INC                 COM            559424106            757       220       X        28-5284                        220
                                                           1,293,612   376,050       X      X 28-5284             376050
MAGUIRE PPTYS INC            COM            559775101         26,760     1,870       X        28-5284     1870
                                                              42,930     3,000       X      X 28-5284     1000      2000
MAGYAR TELEKOM TELECOMMUNS P SPONSORED ADR  559776109          2,452       100       X      X 28-5284      100
MAIDENFORM BRANDS INC        COM            560305104         47,883     2,943       X        28-11135    2943
MAINSOURCE FINANCIAL GP INC  COM            56062Y102        166,486    10,741       X        28-5284    10741
                                                              60,714     3,917       X        28-1500     3917
MAIR HOLDINGS INC            COM            560635104      1,979,823   521,006       X      X 28-5284             521006
MAKITA CORP                  ADR NEW        560877300          1,631        52       X        28-11135      52
MANHATTAN ASSOCS INC         COM            562750109          4,586       200       X        28-5284                        200
                                                              50,446     2,200       X      X 28-5284     2200
MANITOWOC INC                COM            563571108        160,874     3,943       X        28-5284     3579               364
                                                           2,221,438    54,447       X      X 28-5284    53797               650
                                                              75,643     1,854       X        28-11135    1854
MANPOWER INC                 COM            56418H100          5,401        96       X        28-5284       96
                                                             453,287     8,057       X        28-11135    8057
                                                               2,588        46       X        28-4580       46
MANTECH INTL CORP            CL A           564563104          4,808       106       X        28-5284      106
                                                              62,415     1,376       X        28-11135    1376
MANULIFE FINL CORP           COM            56501R106      5,228,213   137,657       X        28-5284   133683              3974
                                                           2,465,548    64,917       X      X 28-5284    64917
   COLUMN TOTAL                                           14,452,020







                                                                                                                    FILE NO. 28-1235
PAGE 140 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MARATHON OIL CORP            COM            565849106     10,554,941   231,468       X        28-5284   212700             18768
                                                           4,677,922   102,586       X      X 28-5284    91626      5200    5760
                                                             512,042    11,229       X        28-11135   11229
                                                             260,695     5,717       X        28-4580     5451               266
                                                              18,331       402       X      X 28-4580      402
MARCUS CORP                  COM            566330106         32,640     1,700       X        28-5284     1700
MARINEMAX INC                COM            567908108         38,626     3,100       X      X 28-5284     3100
MARINER ENERGY INC           COM            56845T305        118,844     4,400       X        28-5284     4400
                                                           1,577,384    58,400       X      X 28-5284    58400
                                                              36,409     1,348       X        28-11135    1348
MARKEL CORP                  COM            570535104         25,958        59       X        28-5284       59
                                                             388,933       884       X      X 28-5284      474               410
MARKETAXESS HLDGS INC        COM            57060D108         34,790     3,500       X      X 28-5284     3500
MARKET VECTORS ETF TR        GOLD MINER ETF 57060U100         35,775       750       X        28-5284      750
                                                             389,184     8,159       X        28-4580     2359              5800
                                                             701,190    14,700       X      X 28-4580    14700
MARKET VECTORS ETF TR        MV ENVIR SVCS  57060U209          4,672        96       X      X 28-5284       96
MARKET VECTORS ETF TR        MV STEEL INDEX 57060U308          7,812        90       X      X 28-5284       90
MARKET VECTORS ETF TR        GBL ALTER ENRG 57060U407         31,502       657       X      X 28-5284      657
MARKET VECTORS ETF TR        RUSSIA ETF     57060U506          2,094        45       X        28-5284       45
MARKET VECTORS ETF TR        AGRIBUS ETF    57060U605         39,939       745       X        28-5284      745
                                                               9,382       175       X      X 28-5284       75               100
                                                              13,134       245       X        28-4580      245
                                                              10,722       200       X      X 28-4580      200
MARKET VECTORS ETF TR        NUC ENERGY ETF 57060U704         32,135     1,078       X      X 28-5284     1078
MARSH & MCLENNAN COS INC     COM            571748102      1,414,053    58,072       X        28-5284    57072              1000
                                                           1,262,182    51,835       X      X 28-5284    50785              1050
                                                              71,224     2,925       X        28-4580     2925
                                                             131,587     5,404       X      X 28-4580     5404
   COLUMN TOTAL                                           22,434,102







                                                                                                                    FILE NO. 28-1235
PAGE 141 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                            
MARSHALL & ILSLEY CORP NEW   COM            571837103         14,407       621       X        28-5284      550                71
                                                             554,225    23,889       X      X 28-5284      569             23320
                                                               4,942       213       X        28-11135     213
MARRIOTT INTL INC NEW        CL A           571903202     16,801,387   488,981       X        28-5284   480231              8750
                                                          20,819,583   605,925       X      X 28-5284   598175       925    6825
                                                               1,718        50       X        28-11135      50
                                                           1,318,359    38,369       X        28-4580    38109               260
                                                             235,710     6,860       X      X 28-4580     6860
MARTEK BIOSCIENCES CORP      COM            572901106         23,325       763       X        28-5284      110               653
                                                               4,586       150       X      X 28-5284      150
MARTHA STEWART LIVING OMNIME CL A           573083102          4,458       600       X        28-5284      600
                                                               3,715       500       X        28-4580      500
MARTIN MARIETTA MATLS INC    COM            573284106        133,880     1,261       X        28-5284     1261
                                                             461,202     4,344       X      X 28-5284     4344
MARTIN MIDSTREAM PRTNRS L P  UNIT L P INT   573331105          9,150       300       X        28-5284      300
MARVEL ENTERTAINMENT INC     COM            57383T103          4,019       150       X      X 28-5284      150
MASCO CORP                   COM            574599106      6,687,965   337,265       X        28-5284   281442             55823
                                                           1,996,861   100,699       X      X 28-5284    91034      2800    6865
                                                              31,728     1,600       X        28-11135    1600
                                                               8,031       405       X        28-4580      405
                                                               7,932       400       X      X 28-4580      400
MASSEY ENERGY CORP           COM            576206106         50,151     1,374       X        28-5284      764               610
                                                              50,042     1,371       X      X 28-5284     1296                75
                                                           5,679,400   155,600       X        28-11439  155600
MASSMUTUAL CORPORATE INVS IN COM            576292106         12,665       448       X        28-5284      448
MASSMUTUAL PARTN INVS        SH BEN INT     576299101         10,920       800       X        28-5284      800
MASTEC INC                   COM            576323109        353,046    43,002       X        28-11135   43002
MASTERCARD INC               CL A           57636Q104     22,971,984   103,018       X        28-5284    97218              5800
                                                           8,385,539    37,605       X      X 28-5284    32771      1122    3712
                                                             604,080     2,709       X        28-4580     2585               124
                                                             287,211     1,288       X      X 28-4580     1288
   COLUMN TOTAL                                           87,532,221







                                                                                                                    FILE NO. 28-1235
PAGE 142 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                            
MATERIAL SCIENCES CORP       COM            576674105            621        80       X        28-5284                         80
MATRIA HEALTHCARE INC        COM NEW        576817209         18,777       842       X      X 28-5284      842
MATRIXX INITIATIVES INC      COM            57685L105        393,333    26,867       X        28-5284    26867
MATRIX SVC CO                COM            576853105        237,273    13,811       X        28-11135   13811
MATSUSHITA ELEC INDL         ADR            576879209        107,986     4,974       X        28-5284     4974
                                                              11,202       516       X      X 28-5284      516
                                                               2,280       105       X        28-11135     105
MATTEL INC                   COM            577081102     22,081,219 1,109,609       X        28-5284  1074121             35488
                                                           1,032,273    51,873       X      X 28-5284    40514      5950    5409
                                                           1,033,825    51,951       X        28-11135   51951
                                                               3,582       180       X      X 28-4580      180
MATTHEWS INTL CORP           CL A           577128101         24,125       500       X        28-5284      500
                                                             106,150     2,200       X      X 28-5284     2200
MAX & ERMAS RESTAURANTS INC  COM            577903107            278       107       X        28-5284      107
MAXIMUS INC                  COM            577933104          6,241       170       X        28-5284                        170
MCAFEE INC                   COM            579064106        220,280     6,657       X        28-5284     6657
MCCLATCHY CO                 CL A           579489105         96,889     9,055       X        28-5284     4655              4400
                                                               6,848       640       X        28-4580      640
MCCORMICK & CO INC           COM VTG        579780107        331,181     9,024       X      X 28-5284     6024              3000
MCCORMICK & CO INC           COM NON VTG    579780206      8,563,805   231,642       X        28-5284   217132             14510
                                                          12,796,907   346,143       X      X 28-5284   270928             75215
                                                              76,158     2,060       X        28-4580     2060
                                                              69,947     1,892       X      X 28-4580     1892
MCDERMOTT INTL INC           COM            580037109         72,362     1,320       X      X 28-5284     1320
MCDONALDS CORP               COM            580135101     90,411,870 1,621,156       X        28-5284  1563229             57927
                                                          56,128,936 1,006,436       X      X 28-5284   966526      6122   33788
                                                             543,311     9,742       X        28-11135    9742
                                                           1,326,266    23,781       X        28-4580    23318               463
                                                             411,025     7,370       X      X 28-4580     7370
   COLUMN TOTAL                                          196,114,950







                                                                                                                    FILE NO. 28-1235
PAGE 143 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MCG CAPITAL CORP             COM            58047P107          9,090     1,000       X      X 28-5284     1000
MCGRATH RENTCORP             COM            580589109         16,105       668       X        28-11135     668
MCGRAW HILL COS INC          COM            580645109     23,776,290   643,472       X        28-5284   637572              5900
                                                          25,432,463   688,294       X      X 28-5284   669932       575   17787
                                                             632,769    17,125       X        28-4580    17125
                                                             114,397     3,096       X      X 28-4580     3096
MCKESSON CORP                COM            58155Q103      1,106,107    21,121       X        28-5284    19221              1900
                                                             177,272     3,385       X      X 28-5284     3385
                                                              83,687     1,598       X        28-11135    1598
MCMORAN EXPLORATION CO       COM            582411104          1,279        74       X      X 28-5284       74
MEADWESTVACO CORP            COM            583334107      1,755,363    64,488       X        28-5284    18488             46000
                                                             389,790    14,320       X      X 28-5284     8029              6291
                                                               9,527       350       X        28-11135     350
MEASUREMENT SPECIALTIES INC  COM            583421102          7,862       450       X        28-5284      450
MECHANICAL TECHNOLOGY INC    COM            583538103            108       200       X        28-5284      200
MEDAREX INC                  COM            583916101        132,750    15,000       X        28-5284    15000
                                                             123,971    14,008       X      X 28-5284    14008
                                                             260,535    29,439       X        28-11135   29439
MEDCO HEALTH SOLUTIONS INC   COM            58405U102     29,713,135   678,537       X        28-5284   638888             39649
                                                          33,251,980   759,351       X      X 28-5284   701656      7975   49720
                                                              14,976       342       X        28-11135     342
                                                             439,345    10,033       X        28-4580     9337               696
                                                             210,980     4,818       X      X 28-4580     4818
MEDIA GEN INC                CL A           584404107         14,020     1,000       X        28-5284     1000
MEDICAL NUTRITION USA INC    COM            58461X107      2,084,689   597,332       X        28-5284   597332
MEDICAL PPTYS TRUST INC      COM            58463J304        172,392    15,229       X        28-5284    15229
                                                             342,849    30,287       X      X 28-5284    30287
MEDICINOVA INC               COM NEW        58468P206        518,489   157,118       X      X 28-5284             157118
   COLUMN TOTAL                                          120,792,220







                                                                                                                    FILE NO. 28-1235
PAGE 144 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MEDICINES CO                 COM            584688105          1,454        72       X        28-5284       72
                                                             357,883    17,717       X        28-11135   17717
MEDICIS PHARMACEUTICAL CORP  CL A NEW       584690309            985        50       X        28-5284       50
                                                              57,101     2,900       X      X 28-5284     2900
MEDTRONIC INC                COM            585055106     30,251,711   625,423       X        28-5284   582171             43252
                                                          34,642,981   716,208       X      X 28-5284   639617       700   75891
                                                              35,649       737       X        28-11135     737
                                                             392,232     8,109       X        28-4580     8109
                                                             184,193     3,808       X      X 28-4580     3147       661
MEMORY PHARMACEUTICALS CORP  COM            58606R403          2,250     4,500       X      X 28-5284     4500
MENS WEARHOUSE INC           COM            587118100          9,541       410       X        28-5284                        410
                                                               7,842       337       X      X 28-5284      337
MENTOR CORP MINN             COM            587188103          6,687       260       X        28-5284                        260
                                                              84,876     3,300       X      X 28-5284     3200               100
                                                              49,202     1,913       X        28-11135    1913
MENTOR GRAPHICS CORP         COM            587200106          3,982       451       X        28-5284      451
MERCADOLIBRE INC             COM            58733R102          5,964       150       X        28-5284      150
MERCHANTS BANCSHARES         COM            588448100         22,880     1,000       X      X 28-5284     1000
MERCK & CO INC               COM            589331107     95,243,191 2,509,702       X        28-5284  2427430             82272
                                                         169,186,679 4,458,147       X      X 28-5284  4311797     16897  129453
                                                             322,082     8,487       X        28-11135    8487
                                                           1,677,238    44,196       X        28-4580    42789              1407
                                                           2,534,567    66,787       X      X 28-4580    62172      2126    2489
MERCURY COMPUTER SYS         COM            589378108            843       150       X        28-5284                        150
MERCURY GENL CORP NEW        COM            589400100        121,099     2,733       X        28-5284                       2733
MEREDITH CORP                COM            589433101          3,863       101       X        28-5284      101
MERIDIAN BIOSCIENCE INC      COM            589584101         83,575     2,500       X      X 28-5284     2500
                                                              17,417       521       X        28-11135     521
MERIT MED SYS INC            COM            589889104         61,832     3,906       X        28-11135    3906
   COLUMN TOTAL                                          335,369,799







                                                                                                                    FILE NO. 28-1235
PAGE 145 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MERITAGE HOMES CORP          COM            59001A102            773        40       X        28-5284       40
MERRILL LYNCH & CO INC       COM            590188108     13,342,798   327,511       X        28-5284   285660             41851
                                                           4,607,083   113,085       X      X 28-5284   101155       300   11630
                                                             125,194     3,073       X        28-11135    3073
                                                             201,663     4,950       X        28-11439    4950
                                                             188,830     4,635       X        28-4580     4635
                                                              26,888       660       X      X 28-4580      660
MESA AIR GROUP INC           COM            590479101            494       210       X        28-5284                        210
                                                                 383       163       X        28-11135     163
META FINL GROUP INC          COM            59100U108          1,630        94       X        28-11135      94
METAVANTE TECHNOLOGIES INC   COM            591407101         62,749     3,139       X        28-5284     3116                23
                                                             240,600    12,036       X      X 28-5284     4189              7847
METHANEX CORP                COM            59151K108          2,617       100       X        28-5284      100
                                                               5,234       200       X      X 28-5284      200
                                                              12,091       462       X        28-11135     462
METHODE ELECTRS INC          COM            591520200          3,039       260       X        28-5284                        260
                                                                 959        82       X        28-11135      82
METLIFE INC                  COM            59156R108     30,685,657   509,221       X        28-5284   454446             54775
                                                           9,047,256   150,137       X      X 28-5284   139904      3600    6633
                                                             364,513     6,049       X        28-11135    6049
                                                             490,697     8,143       X        28-4580     7682               461
                                                             111,602     1,852       X      X 28-4580     1852
METROPCS COMMUNICATIONS INC  COM            591708102         12,104       712       X        28-5284      712
                                                                 119         7       X      X 28-5284        7
METTLER TOLEDO INTERNATIONAL COM            592688105         50,114       516       X      X 28-5284      516
                                                               8,547        88       X        28-11135      88
MEXICO EQUITY & INCOME FD    COM            592834105         10,135       409       X        28-5284      409
MEXICO FD INC                COM            592835102          8,487       245       X      X 28-5284                245
MFS INTERMARKET INCOME TRUST SH BEN INT     59318R103          3,940       500       X        28-5284      500
                                                              89,044    11,300       X      X 28-5284                      11300
   COLUMN TOTAL                                           59,705,240







                                                                                                                    FILE NO. 28-1235
PAGE 146 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MICROS SYS INC               COM            594901100        111,280     3,306       X        28-5284     2666               640
                                                              13,430       399       X        28-11135     399
MICROSOFT CORP               COM            594918104    214,322,383 7,551,881       X        28-5284  6966496            585385
                                                         124,618,311 4,391,061       X      X 28-5284  3956298     29376  405387
                                                           1,586,385    55,898       X        28-11135   55898
                                                           3,394,390   119,605       X        28-4580   118208              1397
                                                           1,430,664    50,411       X      X 28-4580    50251               160
MICROSTRATEGY INC            CL A NEW       594972408            444         6       X        28-5284                          6
MICROCHIP TECHNOLOGY INC     COM            595017104      5,066,244   154,789       X        28-5284   110889             43900
                                                           1,515,039    46,289       X      X 28-5284    32204             14085
                                                               9,623       294       X        28-11135     294
MICRON TECHNOLOGY INC        COM            595112103          3,170       531       X        28-5284      531
                                                               6,627     1,110       X      X 28-5284     1110
                                                              11,074     1,855       X        28-4580     1855
MICROSEMI CORP               COM            595137100         13,224       580       X        28-5284                        580
MID-AMER APT CMNTYS INC      COM            59522J103        157,245     3,155       X        28-5284     3155
                                                              13,208       265       X      X 28-5284      265
MID PENN BANCORP INC         COM            59540G107         28,412     1,123       X      X 28-5284                       1123
MIDAS GROUP INC              COM            595626102          1,891       110       X        28-5284                        110
                                                               4,143       241       X      X 28-5284      241
MIDCAP SPDR TR               UNIT SER 1     595635103    203,232,569 1,439,732       X        28-5284  1436504              3228
                                                          44,149,343   312,761       X      X 28-5284   285889      1050   25822
                                                           2,742,174    19,426       X        28-4580    19126               300
                                                           1,305,448     9,248       X      X 28-4580     9248
MIDDLEBY CORP                COM            596278101          4,866        78       X        28-5284       78
                                                              31,195       500       X      X 28-5284      500
MIDDLESEX WATER CO           COM            596680108         16,417       904       X        28-5284      904
                                                          12,790,687   704,333       X      X 28-5284     4333            700000
MILACRON INC                 COM NEW        598709301            201        79       X        28-5284       79
                                                              57,785    22,750       X      X 28-5284     5400     17350
   COLUMN TOTAL                                          616,637,872







                                                                                                                    FILE NO. 28-1235
PAGE 147 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MILLENNIUM PHARMACEUTICALS I COM            599902103         75,754     4,900       X        28-5284     4900
                                                             100,134     6,477       X      X 28-5284     6477
                                                                 773        50       X        28-11135      50
MILLENNIUM CELL INC          COM            60038B105            625     5,000       X        28-5284     5000
MILLER HERMAN INC            COM            600544100        101,769     4,142       X        28-5284     4142
                                                                 123         5       X        28-11135       5
MILLIPORE CORP               COM            601073109        686,234    10,180       X        28-5284     9380               800
                                                           1,042,091    15,459       X      X 28-5284     9482              5977
MINDRAY MEDICAL INTL LTD     SPON ADR       602675100          2,894       100       X        28-5284      100
                                                              23,152       800       X      X 28-5284      800
MINE SAFETY APPLIANCES CO    COM            602720104      4,294,634   104,264       X        28-5284   104264
                                                         104,284,554 2,531,793       X      X 28-5284     5303           2526490
MINERALS TECHNOLOGIES INC    COM            603158106         49,863       794       X        28-5284                        794
                                                               9,420       150       X      X 28-5284      150
MIRANT CORP NEW              COM            60467R100          4,731       130       X        28-5284      130
                                                                 364        10       X      X 28-5284       10
                                                              74,636     2,051       X      X 28-4580     2051
MIRANT CORP NEW              *W EXP 01/03/2 60467R118             48         3       X        28-5284        3
                                                               1,331        84       X      X 28-5284       84
MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR  606822104         35,844     4,120       X        28-5284     4120
                                                               7,995       919       X      X 28-5284      169               750
                                                              89,662    10,306       X        28-11135   10306
MITSUI & CO LTD              ADR            606827202          2,892         7       X        28-5284        7
                                                              36,768        89       X        28-11135      89
MIZUHO FINL GROUP INC        SPONSORED ADR  60687Y109         61,005     8,300       X        28-5284     8300
MOBILE MINI INC              COM            60740F105          4,560       240       X        28-5284                        240
                                                               2,470       130       X        28-11135     130
MOBILE TELESYSTEMS OJSC      SPONSORED ADR  607409109      1,562,510    20,600       X      X 28-5284    20100               500
                                                              15,170       200       X      X 28-4580      200
   COLUMN TOTAL                                          112,572,006







                                                                                                                    FILE NO. 28-1235
PAGE 148 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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        162,268     2,266       X        28-5284      266              2000
                                                             338,930     4,733       X      X 28-5284     4733
                                                               6,158        86       X        28-11135      86
MOLECULAR INSIGHT PHARM INC  COM            60852M104         18,590     2,750       X        28-5284     2750
MOLINA HEALTHCARE INC        COM            60855R100            879        36       X        28-11135      36
MOLEX INC                    COM            608554101          7,226       312       X        28-5284      312
                                                              34,740     1,500       X      X 28-5284     1500
                                                              21,562       931       X      X 28-4580      931
MOLEX INC                    CL A           608554200          2,776       127       X        28-5284      127
                                                             374,790    17,145       X      X 28-5284    14145              3000
                                                              41,709     1,908       X      X 28-4580     1908
MOLSON COORS BREWING CO      CL B           60871R209      5,853,827   111,353       X        28-5284   106691              4662
                                                             784,239    14,918       X      X 28-5284    13997               921
                                                              15,193       289       X        28-4580      289
MONACO COACH CORP            COM            60886R103          1,706       180       X        28-5284                        180
MONEYGRAM INTL INC           COM            60935Y109         11,381     6,119       X        28-5284     6119
MONMOUTH REAL ESTATE INVT CO CL A           609720107          5,614       700       X        28-5284      700
MONSANTO CO NEW              COM            61166W101     14,755,130   132,333       X        28-5284   110885             21448
                                                          14,057,809   126,079       X      X 28-5284   115858      1486    8735
                                                             154,093     1,382       X        28-11135    1382
                                                             654,171     5,867       X        28-4580     5797                70
                                                              74,928       672       X      X 28-4580      672
MONSTER WORLDWIDE INC        COM            611742107         44,498     1,838       X        28-5284     1838
                                                               4,818       199       X      X 28-5284      199
                                                             369,130    15,247       X        28-11135   15247
MONTGOMERY STR INCOME SECS I COM            614115103        335,654    20,900       X      X 28-5284      600             20300
MOODYS CORP                  COM            615369105     10,506,261   301,644       X        28-5284   283039       600   18005
                                                           7,792,237   223,722       X      X 28-5284   200248       400   23074
                                                               3,553       102       X        28-11135     102
                                                             135,315     3,885       X        28-4580     3885
                                                             289,507     8,312       X      X 28-4580     8312
   COLUMN TOTAL                                           56,858,692







                                                                                                                    FILE NO. 28-1235
PAGE 149 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MOOG INC                     CL A           615394202          2,195        52       X        28-5284       52
                                                              92,862     2,200       X      X 28-5284                       2200
MORGAN STANLEY EASTN EUR FD  COM            616988101         29,787       937       X        28-5284      937
MORGAN STANLEY EMER MKTS FD  COM            61744G107          2,008        94       X        28-5284       94
                                                              10,680       500       X      X 28-5284      500
MORGAN STANLEY EMER MKTS DEB COM            61744H105         51,360     5,350       X      X 28-5284     5350
MORGAN STANLEY HIGH YIELD FD COM            61744M104         19,188     3,600       X      X 28-5284     3600
MORGAN STANLEY ASIA PAC FD I COM            61744U106          7,364       408       X        28-5284      408
                                                              48,482     2,686       X      X 28-5284     2686
MORGAN STANLEY               COM NEW        617446448     28,997,564   634,520       X        28-5284   609313             25207
                                                          26,729,245   584,885       X      X 28-5284   563178      1662   20045
                                                             729,555    15,964       X        28-11135   15964
                                                               9,140       200       X        28-11439     200
                                                             410,295     8,978       X        28-4580     8978
                                                             252,447     5,524       X      X 28-4580     5524
MORGAN STANLEY INDIA INVS FD COM            61745C105          5,684       150       X      X 28-5284      150
MORGAN STANLEY               MUN PREM INCOM 61745P429         32,520     4,000       X      X 28-5284                       4000
MORGAN STANLEY               CA INSD MUN TR 61745P502         60,212     4,395       X        28-5284     2225              2170
MORGAN STANLEY               QULTY MUN SECS 61745P585         19,785     1,500       X      X 28-5284     1500
                                                              19,785     1,500       X        28-4580     1500
MORGAN STANLEY               QLT MUN INV TR 61745P668         18,525     1,500       X      X 28-5284     1500
MORGAN STANLEY               QUALT MUN INCM 61745P734          2,035       166       X        28-5284                        166
MORGAN STANLEY               INSD MUN INCM  61745P791        444,210    33,500       X        28-5284    33500
                                                              30,883     2,329       X        28-4580     2329
MORGAN STANLEY               INSD MUN TR    61745P866         45,115     3,500       X        28-5284     3500
MORGAN STANLEY               INCOME SEC INC 61745P874          7,346       496       X        28-5284      496
                                                             108,113     7,300       X      X 28-5284                       7300
   COLUMN TOTAL                                           58,186,385







                                                                                                                    FILE NO. 28-1235
PAGE 150 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
MORGAN STANLEY CHINA A SH FD COM            617468103         43,571     1,100       X        28-5284     1100
                                                              14,497       366       X      X 28-5284      366
MORGAN STANLEY EMERG MKT DOM COM            617477104         12,138       700       X        28-5284      700
MORNINGSTAR INC              COM            617700109        171,780     2,800       X      X 28-5284     2600               200
MOSAIC CO                    COM            61945A107        125,172     1,220       X        28-5284      120              1100
                                                             592,515     5,775       X      X 28-5284                       5775
                                                             123,120     1,200       X        28-11439    1200
MOTHERS WK INC               COM            619903107        503,734    30,002       X        28-5284    30002
MOTOROLA INC                 COM            620076109     11,450,523 1,231,239       X        28-5284  1079678            151561
                                                           7,501,715   806,636       X      X 28-5284   749477      7200   49959
                                                             521,814    56,109       X        28-11135   56109
                                                              56,525     6,078       X        28-4580     6078
                                                               7,700       828       X      X 28-4580      828
MUELLER INDS INC             COM            624756102         19,618       680       X        28-5284      400               280
                                                               4,385       152       X      X 28-5284      152
MULTI COLOR CORP             COM            625383104          6,708       300       X        28-5284                        300
MURPHY OIL CORP              COM            626717102      3,476,247    42,321       X        28-5284    40621              1700
                                                           3,568,983    43,450       X      X 28-5284    40550              2900
                                                               4,928        60       X        28-4580       60
MYERS INDS INC               COM            628464109          7,720       588       X        28-5284      400               188
MYLAN INC                    COM            628530107        123,238    10,624       X        28-5284     6979              3645
                                                             198,047    17,073       X      X 28-5284    14475              2598
                                                              16,890     1,456       X      X 28-4580     1456
MYRIAD GENETICS INC          COM            62855J104        532,634    13,220       X        28-5284    13220
                                                             390,813     9,700       X      X 28-5284     9700
NBT BANCORP INC              COM            628778102        307,470    13,850       X        28-5284    13850
                                                             220,157     9,917       X      X 28-5284     9917
NBTY INC                     COM            628782104      2,262,153    75,531       X        28-5284    75531
NCI BUILDING SYS INC         COM            628852105         57,596     2,380       X        28-11135    2380
   COLUMN TOTAL                                           32,322,391







                                                                                                                    FILE NO. 28-1235
PAGE 151 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NCR CORP NEW                 COM            62886E108         38,948     1,706       X        28-5284     1432               274
                                                             806,424    35,323       X      X 28-5284     5127             30196
NGP CAP RES CO               COM            62912R107            575        35       X        28-11135      35
NGAS RESOURCES INC           COM            62912T103        118,230    21,000       X        28-5284    21000
NII HLDGS INC                CL B NEW       62913F201        222,714     7,008       X      X 28-5284       83              6925
                                                             171,612     5,400       X        28-11135    5400
NL INDS INC                  COM NEW        629156407         27,300     2,500       X        28-5284     2500
NMS COMMUNICATIONS CORP      COM            629248105        646,950   431,300       X      X 28-5284             431300
NRG ENERGY INC               COM NEW        629377508          1,872        48       X        28-5284       48
                                                              15,089       387       X        28-11135     387
NTT DOCOMO INC               SPONS ADR      62942M201         28,121     1,844       X        28-5284     1844
                                                              14,106       925       X      X 28-5284      925
                                                              60,741     3,983       X        28-11135    3983
NTS RLTY HLDGS LTD PARTNERSH PARTSHIP UNITS 629422106         21,860     4,602       X        28-5284     4602
NUCO2 INC                    COM            629428103         49,986     1,800       X        28-5284     1800
                                                              11,108       400       X      X 28-5284      400
NVR INC                      COM            62944T105          1,195         2       X        28-5284        2
NYMEX HOLDINGS INC           COM            62948N104         13,595       150       X        28-5284      150
                                                               9,063       100       X      X 28-5284      100
NYSE EURONEXT                COM            629491101        191,610     3,105       X        28-5284     1305              1800
                                                             231,968     3,759       X      X 28-5284     3749                10
                                                              29,497       478       X        28-11135     478
                                                               8,516       138       X        28-4580      138
                                                           1,710,663    27,721       X                   27721
NABORS INDS INC              NOTE  0.940% 5 629568AP1      1,431,500    14,000       X        28-4580    14000
NACCO INDS INC               CL A           629579103        930,324    11,494       X      X 28-5284    11494
NALCO HOLDING COMPANY        COM            62985Q101        486,450    23,000       X      X 28-5284    23000
                                                             110,551     5,227       X      X 28-4580     5227
   COLUMN TOTAL                                            7,390,568







                                                                                                                    FILE NO. 28-1235
PAGE 152 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NAM TAI ELECTRS INC          COM PAR $0.02  629865205         96,000    10,000       X        28-5284    10000
                                                              21,120     2,200       X      X 28-5284     2200
NANOGEN INC                  COM            630075109            330       750       X        28-5284      750
NANOPHASE TCHNOLOGIES CORP   COM            630079101             65        20       X        28-5284       20
NAPSTER INC                  COM            630797108      1,729,541 1,168,609       X      X 28-5284            1168609
NARA BANCORP INC             COM            63080P105        103,920     8,000       X      X 28-5284     8000
NASDAQ OMX GROUP INC         COM            631103108      4,840,657   125,211       X        28-5284   120640              4571
                                                             494,191    12,783       X      X 28-5284    12517               266
                                                           1,249,453    32,319       X        28-11135   32319
                                                              13,570       351       X        28-4580      351
NASH FINCH CO                COM            631158102          3,738       110       X        28-5284                        110
NASHUA CORP                  COM            631226107         65,442     6,000       X        28-5284                       6000
NATHANS FAMOUS INC NEW       COM            632347100         63,476     4,534       X      X 28-5284               4534
NATIONAL BK GREECE S A       SPONSORED ADR  633643408          7,128       675       X        28-5284      675
                                                                 422        40       X      X 28-5284       40
NATIONAL CITY CORP           COM            635405103     10,194,621 1,024,585       X        28-5284   936691             87894
                                                           3,432,372   344,962       X      X 28-5284   306366     14988   23608
                                                               6,716       675       X        28-11135     675
                                                             365,354    36,719       X        28-1500    36719
                                                             210,084    21,114       X        28-4580    21114
                                                              78,257     7,865       X      X 28-4580     7865
NATIONAL FINL PARTNERS CORP  COM            63607P208            517        23       X        28-11135      23
NATIONAL FUEL GAS CO N J     COM            636180101        408,650     8,656       X        28-5284     7274              1382
                                                             331,603     7,024       X      X 28-5284     7024
NATIONAL GRID PLC            SPON ADR NEW   636274300         43,077       616       X        28-5284      616
                                                              11,608       166       X      X 28-5284      166
                                                               4,126        59       X        28-4580       59
   COLUMN TOTAL                                           23,776,038







                                                                                                                    FILE NO. 28-1235
PAGE 153 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NATIONAL HEALTH INVS INC       COM            63633D104       18,750       600       X      X 28-5284      600
NATIONAL INSTRS CORP           COM            636518102      375,632    14,370       X        28-5284     6170              8200
                                                             392,100    15,000       X      X 28-5284     1600             13400
                                                              10,221       391       X        28-11135     391
NATIONAL OILWELL VARCO INC     COM            637071101    3,595,858    61,594       X        28-5284    54639              6955
                                                           1,672,937    28,656       X      X 28-5284    21836              6820
                                                             128,728     2,205       X        28-11135    2205
                                                               2,861        49       X        28-4580       49
                                                             116,760     2,000       X      X 28-4580     2000
NATIONAL PENN BANCSHARES INC   COM            637138108      229,885    12,638       X      X 28-5284     4295              8343
NATIONAL PRESTO INDS INC       COM            637215104        2,620        50       X        28-5284                         50
NATIONAL RETAIL PROPERTIES I   COM            637417106       52,920     2,400       X        28-5284                       2400
                                                             478,706    21,710       X      X 28-5284    21710
NATIONAL SEMICONDUCTOR CORP    COM            637640103       21,709     1,185       X        28-5284     1185
                                                             117,376     6,407       X      X 28-5284      407              6000
NATIONWIDE FINL SVCS INC       CL A           638612101      106,711     2,257       X        28-5284      975              1282
                                                             303,585     6,421       X      X 28-5284     4713              1708
NATIONWIDE HEALTH PPTYS INC    COM            638620104      329,873     9,774       X        28-5284     9774
                                                             349,313    10,350       X      X 28-5284     3900              6450
NATIONWIDE HEALTH PPTYS INC    PFD CV B 7.75% 638620302    8,800,353    60,000       X        28-11439   60000
NAVIGATORS GROUP INC           COM            638904102       25,350       466       X        28-5284                        466
                                                             137,904     2,535       X        28-11135    2535
NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103      110,565     3,900       X        28-5284     3900
                                                             511,661    18,048       X      X 28-5284    13048      5000
NATUS MEDICAL INC DEL          COM            639050103       19,965     1,100       X      X 28-5284     1100
NAUTILUS INC                   COM            63910B102        1,316       400       X      X 28-5284      400
NAVIGANT CONSULTING INC        COM            63935N107       77,818     4,100       X      X 28-5284     4100
NAVTEQ CORP                    COM            63936L100       45,764       673       X        28-5284      673
                                                               1,292        19       X      X 28-5284       19
   COLUMN TOTAL                                           18,038,533







                                                                                                                    FILE NO. 28-1235
PAGE 154 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         11,034       428       X        28-5284      428
                                                              39,443     1,530       X      X 28-5284     1530
NEKTAR THERAPEUTICS          COM            640268108          3,657       527       X        28-11135     527
NEOPHARM INC                 COM            640919106             32        57       X      X 28-5284                         57
NESS TECHNOLOGIES INC        COM            64104X108          4,612       486       X        28-5284       86               400
                                                              26,572     2,800       X      X 28-5284     2800
NET 1 UEPS TECHNOLOGIES INC  COM NEW        64107N206         13,530       600       X        28-5284      600
NETFLIX INC                  COM            64110L106         23,354       674       X      X 28-5284      674
                                                              38,669     1,116       X        28-11135    1116
NETGEAR INC                  COM            64111Q104          2,653       133       X        28-5284      133
                                                              41,077     2,059       X        28-11135    2059
NETWORK EQUIP TECHNOLOGIES   COM            641208103          1,248       190       X        28-5284                        190
NEUROMETRIX INC              COM            641255104          6,639     3,648       X        28-5284     3648
NEUBERGER BERMAN INCOME OPP  COM SHS        64126L108         10,400     1,000       X      X 28-5284     1000
NEVADA GOLD & CASINOS INC    COM NEW        64126Q206         26,460    21,000       X        28-5284    21000
NEUSTAR INC                  CL A           64126X201        383,960    14,500       X        28-5284     1000             13500
                                                              71,496     2,700       X      X 28-5284                       2700
                                                               9,692       366       X        28-11135     366
NEUTRAL TANDEM INC           COM            64128B108      8,752,860   486,000       X        28-5284   486000
NEW AMER HIGH INCOME FD INC  COM            641876107          9,006     5,700       X      X 28-5284                       5700
NEUBERGER BERMAN RE ES SEC F COM            64190A103         33,879     3,267       X        28-5284     3267
NEW FRONTIER MEDIA INC       COM            644398109         53,520    12,000       X      X 28-5284              12000
NEW GERMANY FD INC           COM            644465106          3,492       226       X        28-5284      226
                                                              48,668     3,150       X      X 28-5284               3150
NEW IRELAND FUND INC         COM            645673104         75,114     3,902       X      X 28-5284     3902
   COLUMN TOTAL                                            9,691,067







                                                                                                                    FILE NO. 28-1235
PAGE 155 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         53,779     1,732       X        28-5284     1387               345
                                                          11,565,194   372,470       X      X 28-5284     7798            364672
NEW YORK CMNTY CAP TR V      BONUSES        64944P307      2,370,500    50,000       X        28-11439   50000
NEW YORK CMNTY BANCORP INC   COM            649445103      1,670,118    91,664       X        28-5284    85264              6400
                                                           1,495,243    82,066       X      X 28-5284    77016              5050
                                                               1,804        99       X        28-11135      99
                                                               5,411       297       X      X 28-4580      297
NEW YORK TIMES CO            CL A           650111107      1,038,004    54,979       X        28-5284    38004             16975
                                                             226,862    12,016       X      X 28-5284    10256              1760
                                                               9,251       490       X        28-4580      490
NEWALLIANCE BANCSHARES INC   COM            650203102         20,732     1,691       X        28-5284                       1691
NEWCASTLE INVT CORP          COM            65105M108          3,717       450       X        28-5284      450
                                                             236,897    28,680       X      X 28-5284    27680              1000
NEWELL RUBBERMAID INC        COM            651229106      3,915,024   171,186       X        28-5284   160251             10935
                                                           8,615,541   376,718       X      X 28-5284   139154            237564
                                                               4,002       175       X        28-11135     175
                                                               3,087       135       X      X 28-4580      135
NEWFIELD EXPL CO             COM            651290108        177,946     3,367       X        28-5284     3367
                                                             319,003     6,036       X      X 28-5284     6036
NEWMONT MINING CORP          COM            651639106      1,420,336    31,354       X        28-5284    28040              3314
                                                           5,068,572   111,889       X      X 28-5284   109160              2729
                                                               9,060       200       X        28-11135     200
                                                             183,465     4,050       X      X 28-4580     4050
NEWPORT CORP                 COM            651824104         10,455       936       X        28-5284      936
                                                               1,206       108       X        28-11135     108
NEWS CORP                    CL A           65248E104     29,815,256 1,590,147       X        28-5284  1503131             87016
                                                           9,462,319   504,657       X      X 28-5284   461797     11198   31662
                                                             184,856     9,859       X        28-11135    9859
                                                             533,381    28,447       X        28-4580    28047               400
                                                              93,675     4,996       X      X 28-4580     4996
   COLUMN TOTAL                                           78,514,696







                                                                                                                    FILE NO. 28-1235
PAGE 156 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NEWS CORP                    CL B           65248E203      1,260,657    66,211       X        28-5284    66211
                                                             473,906    24,890       X      X 28-5284    19490              5400
                                                             897,850    47,156       X        28-11135   47156
NEWSTAR FINANCIAL INC        COM            65251F105            585       113       X        28-5284      113
NEXEN INC                    COM            65334H102          6,751       228       X        28-5284      228
                                                               2,961       100       X        28-4580      100
NEXCEN BRANDS INC            COM            653351106         17,150     5,000       X        28-5284     5000
NFJ DIVID INT & PREM STRTGY  COM SHS        65337H109         15,159       685       X        28-5284      685
NICHOLAS-APPLEGATE CV & INC  COM            65370F101        391,063    33,829       X        28-5284     2229             31600
                                                              30,333     2,624       X      X 28-5284     2624
NICHOLAS APPLEGATE CV&INC FD COM            65370G109         33,352     3,032       X        28-5284     1280              1752
NICHOLAS APPLEGATE EQT CONV  COM            65370K100         76,541     3,808       X        28-5284     3808
NICHOLAS APPLEGATE GLBL EQ C COM            65370L108         38,920     2,000       X        28-5284     2000
NICOR INC                    COM            654086107        129,583     3,867       X        28-5284     3167               700
                                                             149,254     4,454       X      X 28-5284     2154              2300
NIDEC CORP                   SPONSORED ADR  654090109          4,068       264       X        28-5284      264
                                                              41,715     2,707       X        28-11135    2707
NIKE INC                     CL B           654106103     52,024,828   765,071       X        28-5284   706081             58990
                                                          20,147,448   296,286       X      X 28-5284   258778      4548   32960
                                                             503,880     7,410       X        28-11135    7410
                                                             587,792     8,644       X        28-4580     8352               292
                                                             174,896     2,572       X      X 28-4580     2572
NIGHTHAWK RADIOLOGY HLDGS IN COM            65411N105            749        80       X        28-5284       80
NIPPON TELEG & TEL CORP      SPONSORED ADR  654624105        216,800    10,000       X        28-5284    10000
                                                               1,149        53       X      X 28-5284       53
                                                             450,164    20,764       X        28-11135   20764
                                                               5,290       244       X        28-4580      244
   COLUMN TOTAL                                           77,682,844







                                                                                                                    FILE NO. 28-1235
PAGE 157 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NISOURCE INC                 COM            65473P105         28,118     1,631       X        28-5284     1231               400
                                                             153,367     8,896       X      X 28-5284     8896
                                                               6,793       394       X        28-11135     394
NISSAN MOTORS                SPONSORED ADR  654744408          7,506       450       X        28-5284      450
                                                               2,068       124       X      X 28-5284      124
                                                              92,774     5,562       X        28-11135    5562
NOKIA CORP                   SPONSORED ADR  654902204     26,392,163   829,160       X        28-5284   806637             22523
                                                          17,820,216   559,856       X      X 28-5284   520093      1025   38738
                                                             203,298     6,387       X        28-11135    6387
                                                             366,395    11,511       X        28-4580    11511
                                                             281,759     8,852       X      X 28-4580     8852
NOBLE ENERGY INC             COM            655044105      1,337,700    18,375       X        28-5284     7875             10500
                                                              91,728     1,260       X      X 28-5284     1260
                                                               7,717       106       X        28-11135     106
NOMURA HLDGS INC             SPONSORED ADR  65535H208         26,498     1,763       X        28-5284     1763
                                                               2,826       188       X      X 28-5284      188
                                                              60,315     4,013       X        28-11135    4013
NORAM ENERGY CORP            SDCV  6.000% 3 655419AC3        989,400    10,200       X        28-5284    10200
                                                           1,789,650    18,450       X      X 28-5284    18450
NORDSTROM INC                COM            655664100      9,199,687   282,199       X        28-5284   280624              1575
                                                           8,258,819   253,338       X      X 28-5284   245363       625    7350
                                                             341,224    10,467       X        28-11135   10467
                                                             345,136    10,587       X        28-4580    10383               204
                                                              25,428       780       X      X 28-4580      780
NORFOLK SOUTHERN CORP        COM            655844108     20,005,187   368,284       X        28-5284   352049       100   16135
                                                          31,278,977   575,828       X      X 28-5284   443913      1000  130915
                                                              86,966     1,601       X        28-11135    1601
                                                             141,015     2,596       X        28-4580     2596
                                                              10,864       200       X      X 28-4580      200
NORTEL NETWORKS CORP NEW     COM NEW        656568508         12,069     1,804       X        28-5284     1804
                                                               1,525       228       X      X 28-5284      228
                                                              22,238     3,324       X        28-11135    3324
NORTH AMERN GALVANZNG & CTNG COM            65686Y109      2,180,560   395,029       X        28-5284                     395029
   COLUMN TOTAL                                          121,569,986







                                                                                                                    FILE NO. 28-1235
PAGE 158 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NORTH EUROPEAN OIL RTY TR    SH BEN INT     659310106      1,436,551    43,466       X        28-5284    37200              6266
                                                              79,320     2,400       X      X 28-5284     2400
NORTHEAST UTILS              COM            664397106          5,816       237       X        28-5284      237
                                                               6,135       250       X      X 28-5284      250
NORTHERN TR CORP             COM            665859104     36,731,987   552,610       X        28-5284   516792             35818
                                                          13,957,769   209,986       X      X 28-5284   184489      2924   22573
                                                             240,223     3,614       X        28-4580     3614
                                                              60,488       910       X      X 28-4580      910
NORTHFIELD LABS INC          COM            666135108            495       500       X        28-5284      500
NORTHROP GRUMMAN CORP        COM            666807102      7,377,944    94,820       X        28-5284    84571             10249
                                                           8,413,128   108,124       X      X 28-5284    99610              8514
                                                             339,407     4,362       X        28-11135    4362
                                                             139,902     1,798       X        28-4580     1798
NORTHSTAR RLTY FIN CORP      COM            66704R100          2,451       300       X        28-5284      300
                                                             237,339    29,050       X      X 28-5284    29050
NORTHWEST AIRLS CORP         COM            667280408          3,164       352       X        28-5284      352
                                                                 333        37       X      X 28-5284       37
NORTHWEST BANCORP INC PA     COM            667328108          8,746       320       X        28-5284      320
                                                              33,479     1,225       X      X 28-5284     1225
NORTHWEST NAT GAS CO         COM            667655104         62,554     1,440       X        28-5284     1230               210
                                                             117,288     2,700       X      X 28-5284     2700
                                                              45,178     1,040       X        28-11135    1040
NORTHWESTERN CORP            COM NEW        668074305          2,315        95       X      X 28-5284       95
NORWOOD FINANCIAL CORP       COM            669549107        122,337     4,531       X        28-5284     4531
                                                               7,074       262       X      X 28-5284      262
NOVA CHEMICALS CORP          COM            66977W109        141,908     5,950       X        28-5284     5950
NOVAGOLD RES INC             COM NEW        66987E206          1,010       131       X        28-5284      131
                                                               2,768       359       X        28-4580      359
   COLUMN TOTAL                                           69,577,109







                                                                                                                    FILE NO. 28-1235
PAGE 159 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NOVARTIS A G                 SPONSORED ADR  66987V109      9,944,204   194,109       X        28-5284   173009             21100
                                                           4,778,376    93,273       X      X 28-5284    65304             27969
                                                             233,967     4,567       X        28-11135    4567
                                                              28,535       557       X        28-4580      557
                                                              26,947       526       X      X 28-4580                        526
NOVELL INC                   COM            670006105            837       133       X        28-5284      133
NOVEN PHARMACEUTICALS INC    COM            670009109          1,437       160       X        28-5284                        160
NOVO-NORDISK A S             ADR            670100205      1,071,558    15,476       X        28-5284    15476
                                                           3,145,435    45,428       X      X 28-5284    45428
                                                             103,583     1,496       X        28-11135    1496
NSTAR                        COM            67019E107         69,411     2,281       X        28-5284     2281
                                                             274,783     9,030       X      X 28-5284     1030              8000
NTELOS HLDGS CORP            COM            67020Q107          9,341       386       X        28-11135     386
NUANCE COMMUNICATIONS INC    COM            67020Y100        109,596     6,295       X        28-5284     6295
                                                             390,802    22,447       X      X 28-5284      550             21897
                                                             406,471    23,347       X        28-11135   23347
NUCOR CORP                   COM            670346105      1,671,620    24,677       X        28-5284    24677
                                                           1,230,158    18,160       X      X 28-5284    17692               468
                                                               3,658        54       X        28-4580       54
NUSTAR ENERGY LP             UNIT COM       67058H102        165,762     3,422       X        28-5284     3422
                                                             289,381     5,974       X      X 28-5284     4974              1000
NUVEEN GBL VL OPPORTUNITIES  COM            6706EH103         28,086     1,550       X        28-5284     1550
NUVEEN EQTY PRM OPPORTUNITYF COM            6706EM102         79,051     5,160       X        28-5284     2602              2558
NUVEEN DIVERSIFIED DIV INCM  COM            6706EP105         38,760     3,000       X      X 28-5284     3000
NUVEEN PREM INCOME MUN FD 4  COM            6706K4105          8,464       747       X        28-5284      747
                                                                 510        45       X        28-11135      45
NUVEEN PA PREM INCOME MUN FD COM            67061F101        146,406    12,160       X        28-5284    12160
                                                             218,586    18,155       X      X 28-5284    18155
NUVEEN MD PREM INCOME MUN FD COM            67061Q107         38,127     2,988       X      X 28-5284     2988
   COLUMN TOTAL                                           24,513,852







                                                                                                                    FILE NO. 28-1235
PAGE 160 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NUVEEN SELECT MAT MUN FD     SH BEN INT     67061T101         27,430     2,799       X      X 28-5284     2300               499
NUVEEN ARIZ PREM INCOME MUN  COM            67061W104        295,038    22,978       X      X 28-5284    22978
NUVEEN INVT QUALITY MUN FD I COM            67062E103         24,498     1,800       X        28-5284     1800
                                                              74,542     5,477       X      X 28-5284     5477
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67062F100        201,496    14,150       X      X 28-5284    14150
NUVEEN MUN ADVANTAGE FD INC  COM            67062H106        107,600     8,000       X        28-5284     8000
                                                               4,035       300       X      X 28-5284      300
NUVEEN MUN INCOME FD INC     COM            67062J102         82,320     8,000       X        28-5284     8000
                                                              82,011     7,970       X      X 28-5284     7970
NUVEEN INSD QUALITY MUN FD I COM            67062N103         33,664     2,533       X        28-5284     2533
NUVEEN PERFORMANCE PLUS MUN  COM            67062P108        125,437     9,382       X        28-5284     9382
                                                             146,696    10,972       X      X 28-5284    10972
NUVEEN PREM INCOME MUN FD    COM            67062T100         19,860     1,500       X        28-5284     1500
                                                              86,060     6,500       X      X 28-5284     6500
NUVEEN MUN MKT OPPORTUNITY F COM            67062W103        234,900    18,111       X        28-5284    18111
                                                             466,920    36,000       X      X 28-5284    36000
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063C106        131,005     9,500       X      X 28-5284     8500              1000
NUVEEN PREM INCOME MUN FD 2  COM            67063W102         42,543     3,270       X      X 28-5284     3270
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063X100         13,750     1,000       X      X 28-5284     1000
NUVEEN TAX FREE ADV MUN FD   COM            670657105        200,463    14,453       X      X 28-5284    14453
NVIDIA CORP                  COM            67066G104     16,192,772   818,230       X        28-5284   781238             36992
                                                           5,555,488   280,722       X      X 28-5284   264539      7538    8645
                                                             201,007    10,157       X        28-11135   10157
                                                             365,640    18,476       X        28-4580    17951               525
                                                              48,011     2,426       X      X 28-4580     2426
NUVEEN DIVID ADVANTAGE MUN F COM            67066V101         26,640     2,000       X      X 28-5284     2000
   COLUMN TOTAL                                           24,789,826







                                                                                                                    FILE NO. 28-1235
PAGE 161 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NUVEEN MUN HIGH INC OPP FD   COM            670682103         16,797     1,100       X        28-5284     1100
                                                             100,782     6,600       X      X 28-5284     6600
NUTRI SYS INC NEW            COM            67069D108          1,341        89       X      X 28-5284       89
NUVEEN PA DIV ADVANTAGE MUN  COM            67070E103         45,018     3,395       X        28-5284     3395
                                                              17,371     1,310       X      X 28-5284     1310
NUVEEN DIV ADV MUNI FD 3     COM SH BEN INT 67070X101         69,772     5,176       X        28-5284     5176
                                                                  13         1       X        28-11135       1
NUVEEN REAL ESTATE INCOME FD COM            67071B108         14,031       900       X        28-5284                        900
                                                              19,456     1,248       X      X 28-5284     1248
NUVEEN INSD DIVID ADVANTAGE  COM            67071L106         46,683     3,510       X      X 28-5284     3510
NUVEEN QUALITY PFD INCOME FD COM            67071S101         99,450     9,693       X      X 28-5284     9693
NUVEEN NEW JERSEY DIVID      COM            67071T109         44,220     3,300       X        28-5284     3300
NUVEEN PA DIVID ADVANTAGE MU COM            67071W102         47,250     3,500       X        28-5284     3500
                                                             121,500     9,000       X      X 28-5284     9000
NUVEEN GA DIV ADV MUN FD 2   COM            67072B107        413,906    31,888       X      X 28-5284    31888
NUVEEN QUALITY PFD INCOME FD COM            67072C105         21,900     2,000       X        28-5284     2000
                                                              36,726     3,354       X      X 28-5284     3354
NXSTAGE MEDICAL INC          COM            67072V103         21,600     5,000       X        28-5284     5000
NUVEEN QUALITY PFD INC FD 3  COM            67072W101         11,891     1,150       X        28-5284     1150
NUVEEN MULTI STRAT INC & GR  COM            67073B106         23,533     2,314       X        28-5284     2314
NUVEEN MULTI STRAT INC GR FD COM SHS        67073D102         20,635     2,027       X        28-5284     2027
                                                              25,175     2,473       X      X 28-5284     2473
O CHARLEYS INC               COM            670823103          1,843       160       X        28-5284                        160
OGE ENERGY CORP              COM            670837103        204,257     6,553       X        28-5284     6439               114
                                                             331,649    10,640       X      X 28-5284    10240               400
OM GROUP INC                 COM            670872100        150,040     2,751       X        28-5284      680              2071
   COLUMN TOTAL                                            1,906,839







                                                                                                                    FILE NO. 28-1235
PAGE 162 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
NUVEEN TX ADV TOTAL RET STRG COM            67090H102            215        12       X        28-5284       12
NUVEEN MUN VALUE FD INC      COM            670928100      3,156,078   320,089       X        28-5284   320089
                                                             530,064    53,759       X      X 28-5284    52659              1100
NUVEEN NJ INVT QUALITY MUN F COM            670971100         85,988     6,640       X        28-5284     6640
                                                              12,950     1,000       X      X 28-5284     1000
NUVEEN PA INVT QUALITY MUN F COM            670972108        148,109    11,571       X        28-5284    11571
                                                             253,722    19,822       X      X 28-5284    19822
NUVEEN SELECT QUALITY MUN FD COM            670973106         82,260     6,000       X        28-5284     6000
NUVEEN CA SELECT QUALITY MUN COM            670975101         78,840     6,000       X      X 28-5284     6000
NUVEEN NY SELECT QUALITY MUN COM            670976109         52,606     4,078       X      X 28-5284     4078
NUVEEN QUALITY INCOME MUN FD COM            670977107        226,203    16,731       X        28-5284    16731
                                                              80,674     5,967       X      X 28-5284     5967
NUVEEN INSD MUN OPPORTUNITY  COM            670984103         48,951     3,675       X        28-5284     3675
                                                              68,998     5,180       X      X 28-5284     5180
NUVEEN CALIF QUALITY INCM MU COM            670985100         80,460     6,000       X      X 28-5284     6000
NUVEEN PREMIER INSD MUN INCO COM            670987106         20,864     1,600       X        28-5284     1600
NUVEEN PREMIER MUN INCOME FD COM            670988104         50,400     4,000       X        28-5284     4000
NUVEEN NJ PREM INCOME MUN FD COM            67101N106        242,109    18,300       X        28-5284    18300
OSI PHARMACEUTICALS INC      COM            671040103          2,318        62       X        28-5284       62
                                                              66,592     1,781       X      X 28-5284     1781
OYO GEOSPACE CORP            COM            671074102        129,447     2,850       X      X 28-5284     2850
OBAGI MEDICAL PRODUCTS INC   COM            67423R108         43,400     5,000       X      X 28-5284     5000
OCCIDENTAL PETE CORP DEL     COM            674599105     25,390,575   347,008       X        28-5284   316922             30086
                                                           7,966,091   108,871       X      X 28-5284    99765      3008    6098
                                                             518,409     7,085       X        28-11135    7085
                                                             310,607     4,245       X        28-4580     4245
                                                              68,048       930       X      X 28-4580      930
   COLUMN TOTAL                                           39,714,978







                                                                                                                    FILE NO. 28-1235
PAGE 163 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
OCEANEERING INTL INC         COM            675232102         25,830       410       X        28-5284                        410
                                                             705,600    11,200       X      X 28-5284    10900               300
                                                               8,190       130       X        28-11135     130
OCWEN FINL CORP              NOTE  3.250% 8 675746AD3      1,241,892     1,730       X        28-11439    1730
OCWEN FINL CORP              COM NEW        675746309            511       115       X        28-5284      115
                                                             524,395   118,107       X        28-11135  118107
ODYSSEY HEALTHCARE INC       COM            67611V101         81,900     9,100       X        28-5284                       9100
ODYSSEY RE HLDGS CORP        COM            67612W108         81,769     2,225       X        28-5284       55              2170
OFFICEMAX INC DEL            COM            67622P101          8,154       426       X        28-5284      426
OFFICE DEPOT INC             COM            676220106         55,338     5,008       X        28-5284      808              4200
                                                               7,735       700       X      X 28-5284      700
OIL SVC HOLDRS TR            DEPOSTRY RCPT  678002106         88,400       500       X        28-5284      500
                                                             199,077     1,126       X      X 28-5284      600               526
                                                               5,304        30       X      X 28-4580       30
OIL STS INTL INC             COM            678026105            941        21       X        28-5284       21
OLD LINE BANCSHARES INC      COM            67984M100        243,000    30,000       X      X 28-5284    30000
OLD MUTUAL CLAYMORE LNG SHT  COM            68003N103         20,367     1,512       X        28-5284     1512
OLD NATL BANCORP IND         COM            680033107         53,370     2,965       X        28-5284     2965
OLD REP INTL CORP            COM            680223104        668,609    51,790       X        28-5284    43615              8175
                                                           1,839,933   142,520       X      X 28-5284   139610              2910
                                                               5,964       462       X        28-11135     462
                                                              10,999       852       X        28-4580      852
OLIN CORP                    COM PAR $1     680665205         11,896       602       X        28-5284      602
                                                             261,998    13,259       X      X 28-5284    13259
OMNICARE INC                 COM            681904108     11,025,989   607,158       X        28-5284   530899             76259
                                                           1,406,183    77,433       X      X 28-5284    68913              8520
   COLUMN TOTAL                                           18,583,344







                                                                                                                    FILE NO. 28-1235
PAGE 164 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
OMNICOM GROUP INC            COM            681919106     58,077,172 1,314,558       X        28-5284  1266581             47977
                                                          26,044,773   589,515       X      X 28-5284   564099      7500   17916
                                                              61,454     1,391       X        28-11135    1391
                                                             404,159     9,148       X        28-4580     9148
                                                             113,101     2,560       X      X 28-4580      560      2000
OMEGA HEALTHCARE INVS INC    COM            681936100        410,217    23,630       X        28-5284    23630
                                                              21,006     1,210       X      X 28-5284     1210
OMRIX BIOPHARMACEUTICALS INC COM            681989109          8,400       600       X      X 28-5284      600
                                                             157,514    11,251       X        28-11135   11251
OMEGA FINL CORP              COM            682092101         44,086     1,413       X      X 28-5284                       1413
OMEGA FLEX INC               COM            682095104          8,696     2,121       X        28-5284     2121
                                                                 615       150       X      X 28-5284      150
OMNITURE INC                 COM            68212S109         23,210     1,000       X        28-5284     1000
OMNIVISION TECHNOLOGIES INC  COM            682128103         63,613     3,782       X        28-5284                       3782
OMNOVA SOLUTIONS INC         COM            682129101          1,077       270       X        28-5284                        270
OMNICELL INC                 COM            68213N109         30,150     1,500       X      X 28-5284     1500
OMNICARE CAP TR I            PIERS          68214Q200      2,958,678   100,000       X        28-11439  100000
ON ASSIGNMENT INC            COM            682159108          1,397       220       X        28-5284                        220
ON SEMICONDUCTOR CORP        COM            682189105          1,727       304       X        28-5284      304
                                                              34,080     6,000       X      X 28-5284     6000
ONEOK PARTNERS LP            UNIT LTD PARTN 68268N103        161,000     2,800       X        28-5284     2800
                                                             212,750     3,700       X      X 28-5284     3700
ONEOK INC NEW                COM            682680103        271,440     6,082       X        28-5284     1457              4625
                                                             524,403    11,750       X      X 28-5284     9250              2500
ONLINE RES CORP              COM            68273G101          4,396       457       X        28-5284      457
ONSTREAM MEDIA CORP          COM            682875109          1,455     2,172       X        28-5284     2172
ONVIA INC                    COM NEW        68338T403         28,265     4,389       X      X 28-5284               4389
   COLUMN TOTAL                                           89,668,834







                                                                                                                    FILE NO. 28-1235
PAGE 165 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ONYX PHARMACEUTICALS INC     COM            683399109          2,903       100       X        28-5284      100
                                                              14,515       500       X      X 28-5284      500
OPEN JT STK CO-VIMPEL COMMUN SPONSORED ADR  68370R109        345,230    11,550       X        28-5284    11550
OPKO HEALTH INC              COM            68375N103         12,360     6,000       X      X 28-5284     6000
OPLINK COMMUNICATIONS INC    COM NEW        68375Q403         63,403     7,148       X      X 28-5284               7148
OPPENHEIMER HLDGS INC        CL A NON VTG   683797104         39,015       900       X        28-5284      900
OPTICAL CABLE CORP           COM NEW        683827208        190,380    38,076       X      X 28-5284              38076
ORACLE CORP                  COM            68389X105     71,329,393 3,646,697       X        28-5284  3402862            243835
                                                          38,492,496 1,967,919       X      X 28-5284  1821485     18960  127474
                                                           1,655,402    84,632       X        28-11135   84632
                                                           1,294,598    66,186       X        28-4580    64512              1674
                                                             539,230    27,568       X      X 28-4580    27568
OPTIONSXPRESS HLDGS INC      COM            684010101         23,216     1,121       X        28-5284      200               921
                                                              15,740       760       X      X 28-5284      760
OPTIUM CORP                  COM            68402T107          1,062       151       X        28-5284      151
ORASURE TECHNOLOGIES INC     COM            68554V108          7,310     1,000       X        28-5284     1000
                                                               7,310     1,000       X      X 28-5284     1000
ORBITAL SCIENCES CORP        NOTE  2.438% 1 685564AN6        242,500     2,000       X        28-4580     2000
ORBITAL SCIENCES CORP        COM            685564106          7,230       300       X        28-5284      300
                                                              24,100     1,000       X      X 28-5284                       1000
OREZONE RES INC              COM            685921108          6,333     4,250       X        28-4580     4250
O REILLY AUTOMOTIVE INC      COM            686091109         87,414     3,065       X        28-5284     3065
                                                               2,852       100       X      X 28-5284      100
                                                              77,603     2,721       X        28-11135    2721
ORITANI FINL CORP            COM            686323106         33,647     2,218       X        28-5284     2218
ORIX CORP                    SPONSORED ADR  686330101          8,340       122       X        28-5284      122
                                                                 957        14       X      X 28-5284       14
                                                             258,674     3,784       X        28-11135    3784
   COLUMN TOTAL                                          114,783,213







                                                                                                                    FILE NO. 28-1235
PAGE 166 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
OSCIENT PHARMACEUTICALS CORP COM NEW        68812R303            223       128       X        28-5284      128
OSHKOSH CORP                 COM            688239201      2,376,594    65,507       X        28-5284    58807              6700
                                                           1,311,885    36,160       X      X 28-5284     9740             26420
                                                             420,521    11,591       X        28-11135   11591
OSTEOTECH INC                COM            688582105            618       130       X        28-5284                        130
OTELCO INC                   INCME DEP SECS 688823202          3,118       200       X        28-5284      200
                                                               1,559       100       X      X 28-5284      100
OVERSEAS SHIPHOLDING GROUP I COM            690368105         39,222       560       X      X 28-5284      560
OWENS & MINOR INC NEW        COM            690732102         11,802       300       X        28-5284                        300
                                                              11,802       300       X      X 28-5284      300
OWENS CORNING NEW            COM            690742101          4,569       252       X        28-5284      252
OWENS ILL INC                COM NEW        690768403     17,813,935   315,682       X        28-5284   295533             20149
                                                           5,575,679    98,807       X      X 28-5284    91416      3405    3986
                                                             283,166     5,018       X        28-4580     5018
                                                              40,573       719       X      X 28-4580      719
OXFORD INDS INC              COM            691497309          2,929       130       X        28-5284                        130
                                                              51,819     2,300       X      X 28-5284     2300
OXIGENE INC                  COM            691828107          3,640     2,000       X        28-5284     2000
PCM FUND INC                 COM            69323T101        113,568    11,200       X      X 28-5284                      11200
PC-TEL INC                   COM            69325Q105            884       130       X        28-5284                        130
PDL BIOPHARMA INC            COM            69329Y104         12,708     1,200       X      X 28-5284     1200
PG&E CORP                    COM            69331C108        317,941     8,635       X        28-5284     8135               500
                                                             144,334     3,920       X      X 28-5284     3920
                                                              35,605       967       X        28-11135     967
PHC INC MASS                 CL A           693315103          9,905     3,500       X      X 28-5284     3500
PHH CORP                     COM NEW        693320202          5,386       309       X      X 28-5284      309
   COLUMN TOTAL                                           28,593,985







                                                                                                                    FILE NO. 28-1235
PAGE 167 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
P F CHANGS CHINA BISTRO INC  COM            69333Y108          8,532       300       X        28-5284      100               200
                                                              85,320     3,000       X      X 28-5284     3000
PGT INC                      COM            69336V101          2,740     1,000       X        28-5284     1000
PICO HLDGS INC               COM NEW        693366205          4,172       138       X        28-5284                        138
                                                             151,150     5,000       X      X 28-5284     5000
                                                              36,911     1,221       X      X 28-4580     1221
PMC-SIERRA INC               COM            69344F106          1,254       220       X        28-5284      220
                                                               5,700     1,000       X      X 28-5284     1000
PMI GROUP INC                COM            69344M101         11,273     1,937       X        28-5284       65              1872
                                                             359,693    61,803       X      X 28-5284    61803
                                                                 466        80       X        28-11135      80
PNC FINL SVCS GROUP INC      COM            693475105    106,581,281 1,625,458       X        28-5284  1507772      5965  111721
                                                         161,392,687 2,461,380       X      X 28-5284  1625037     20350  815993
                                                               8,655       132       X        28-11135     132
                                                           7,527,961   114,808       X        28-4580   111133              3675
                                                           5,969,493    91,040       X      X 28-4580    87815              3225
PNC FINL SVCS GROUP INC      PFD A CV $1.80 693475204              0        27       X      X 28-5284       27
PNC FINL SVCS GROUP INC      PFD CV D $1.80 693475501        107,484     1,014       X        28-5284     1014
                                                               2,650        25       X      X 28-5284       25
POSCO                        SPONSORED ADR  693483109        477,705     4,015       X        28-5284       15              4000
                                                             152,770     1,284       X      X 28-5284     1284
                                                               1,309        11       X        28-11135      11
PNM RES INC                  COM            69349H107      1,832,778   146,975       X        28-5284   134030             12945
                                                             196,714    15,775       X      X 28-5284    13715              2060
                                                              12,246       982       X        28-4580      982
PPG INDS INC                 COM            693506107     29,015,211   479,511       X        28-5284   458034             21477
                                                          34,850,674   575,949       X      X 28-5284   557092      2150   16707
                                                              62,325     1,030       X        28-11135    1030
                                                             263,582     4,356       X        28-4580     4356
                                                             551,004     9,106       X      X 28-4580     9106
   COLUMN TOTAL                                          349,673,740







                                                                                                                    FILE NO. 28-1235
PAGE 168 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PPL CORP                     COM            69351T106     20,646,780   449,625       X        28-5284   442072      1100    6453
                                                          25,453,686   554,305       X      X 28-5284   533826       450   20029
                                                               7,715       168       X        28-11135     168
                                                              76,411     1,664       X        28-4580     1664
                                                              64,288     1,400       X      X 28-4580     1400
PSS WORLD MED INC            COM            69366A100         14,994       900       X        28-5284      900
                                                             184,093    11,050       X      X 28-5284    11050
PACCAR INC                   COM            693718108         42,705       949       X        28-5284      949
                                                              67,500     1,500       X      X 28-5284     1500
                                                             244,665     5,437       X        28-11135    5437
PACER INTL INC TENN          COM            69373H106          1,364        83       X        28-5284       83
PACHOLDER HIGH YIELD FD INC  COM            693742108         14,149     1,807       X        28-5284     1807
                                                              19,575     2,500       X      X 28-5284     2500
PACIFIC CAP BANCORP NEW      COM            69404P101          1,398        65       X        28-5284       65
                                                              32,250     1,500       X      X 28-5284                       1500
PACIFIC ETHANOL INC          COM            69423U107            110        25       X        28-5284       25
                                                                  79        18       X        28-4580       18
PACIFIC MERCANTILE BANCORP   COM            694552100         28,620     3,000       X        28-4580                       3000
PACIFIC SUNWEAR CALIF INC    COM            694873100          5,233       415       X      X 28-5284      415
PACKAGING CORP AMER          COM            695156109        162,361     7,271       X        28-5284      371              6900
PACKETEER INC                COM            695210104        320,080    62,884       X        28-11135   62884
PACTIV CORP                  COM            695257105         89,402     3,411       X        28-5284     3411
                                                              52,577     2,006       X      X 28-5284     2006
                                                              19,762       754       X        28-11135     754
PALL CORP                    COM            696429307        220,099     6,276       X        28-5284     4011              2265
                                                             390,329    11,130       X      X 28-5284     1130             10000
PALM INC NEW                 COM            696643105          5,000     1,000       X        28-5284     1000
                                                              50,190    10,038       X      X 28-5284    10010                28
   COLUMN TOTAL                                           48,215,415







                                                                                                                    FILE NO. 28-1235
PAGE 169 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PAN AMERICAN SILVER CORP     COM            697900108         19,185       500       X        28-5284      500
                                                              38,370     1,000       X      X 28-5284     1000
PANERA BREAD CO              CL A           69840W108      2,548,713    60,843       X        28-5284    51258              9585
                                                             721,555    17,225       X      X 28-5284    13220              4005
PAPA JOHNS INTL INC          COM            698813102         98,438     4,066       X        28-5284     4066
                                                              36,315     1,500       X        28-4580     1500
PARAMETRIC TECHNOLOGY CORP   COM NEW        699173209        183,658    11,493       X        28-5284    11493
                                                              10,531       659       X      X 28-5284      659
                                                                  48         3       X        28-11135       3
PAREXEL INTL CORP            COM            699462107         10,962       420       X        28-5284                        420
                                                             150,206     5,755       X        28-11135    5755
PARK ELECTROCHEMICAL CORP    COM            700416209         17,914       693       X        28-5284      533               160
                                                               2,042        79       X        28-11135      79
PARK NATL CORP               COM            700658107        197,672     2,790       X        28-5284     2790
PARKE BANCORP INC            COM            700885106        298,121    18,691       X      X 28-5284    18691
PARKER DRILLING CO           COM            701081101          3,876       600       X      X 28-5284      600
PARKER HANNIFIN CORP         COM            701094104        739,942    10,682       X        28-5284    10682
                                                           1,352,774    19,529       X      X 28-5284    16829              2700
                                                             109,931     1,587       X        28-11135    1587
PARKVALE FINL CORP           COM            701492100         68,415     2,549       X      X 28-4580     2549
PARKWAY PPTYS INC            COM            70159Q104        184,800     5,000       X        28-5284                       5000
                                                               1,331        36       X        28-11135      36
PATRIOT CAPITAL FUNDING INC  COM            70335Y104         10,470     1,000       X      X 28-5284     1000
PATRIOT COAL CORP            COM            70336T104        217,236     4,625       X        28-5284     2944              1681
                                                             234,380     4,990       X      X 28-5284     3665       352     973
                                                                 235         5       X        28-11135       5
                                                               7,985       170       X      X 28-4580      170
   COLUMN TOTAL                                            7,265,105







                                                                                                                    FILE NO. 28-1235
PAGE 170 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PATTERSON COMPANIES INC      COM            703395103        220,232     6,067       X        28-5284     5257       810
                                                             463,261    12,762       X      X 28-5284     4762              8000
                                                              91,766     2,528       X        28-11135    2528
PATTERSON UTI ENERGY INC     COM            703481101      3,052,274   116,588       X        28-5284   103698             12890
                                                             320,548    12,244       X      X 28-5284    10041              2203
PAYCHEX INC                  COM            704326107      9,763,963   284,996       X        28-5284   276596              8400
                                                           2,715,174    79,252       X      X 28-5284    61229             18023
                                                               2,398        70       X        28-11135      70
                                                              28,778       840       X      X 28-4580      840
PEABODY ENERGY CORP          COM            704549104      4,729,893    92,743       X        28-5284    57018             35725
                                                           3,871,869    75,919       X      X 28-5284    54344      3520   18055
                                                               2,550        50       X        28-11135      50
                                                              12,393       243       X        28-4580      243
                                                              79,050     1,550       X      X 28-4580     1550
PEAPACK-GLADSTONE FINL CORP  COM            704699107         54,350     2,010       X        28-5284     2010
                                                              32,718     1,210       X      X 28-5284     1210
PEARSON PLC                  SPONSORED ADR  705015105         39,640     2,919       X        28-5284     2919
PECO II INC                  COM            705221109        254,163   445,900       X      X 28-5284             445900
PEDIATRIX MED GROUP          COM            705324101         24,264       360       X        28-5284                        360
PEERLESS SYS CORP            COM            705536100          9,450     5,000       X      X 28-5284                       5000
PEETS COFFEE & TEA INC       COM            705560100          2,351       100       X        28-5284      100
PENGROWTH ENERGY TR          TR UNIT NEW    706902509         86,084     4,507       X        28-5284     2507              2000
                                                             910,631    47,677       X      X 28-5284    47677
PENFORD CORP                 COM            707051108          1,738        80       X        28-5284                         80
PENN NATL GAMING INC         COM            707569109        110,200     2,520       X        28-5284     2520
                                                              48,103     1,100       X      X 28-5284      400               700
                                                               5,029       115       X        28-11135     115
PENN VA CORP                 COM            707882106        220,450     5,000       X        28-5284     5000
   COLUMN TOTAL                                           27,153,320







                                                                                                                    FILE NO. 28-1235
PAGE 171 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PENN VA RESOURCES PARTNERS L COM            707884102         56,138     2,250       X        28-5284     2250
                                                              12,475       500       X      X 28-5284      500
PENN WEST ENERGY TR          TR UNIT        707885109        165,977     5,932       X        28-5284     5932
                                                             323,253    11,553       X      X 28-5284    10553      1000
PENNEY J C INC               COM            708160106      1,099,888    29,167       X        28-5284    28697               470
                                                             836,596    22,185       X      X 28-5284    20705              1480
                                                              71,347     1,892       X        28-11135    1892
                                                              64,371     1,707       X        28-4580     1707
                                                              76,212     2,021       X      X 28-4580     2021
PENNSYLVANIA COMM BANCORP IN COM            708677109         73,891     2,752       X        28-5284     2752
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        613,652    25,160       X        28-5284    25160
                                                           1,370,889    56,207       X      X 28-5284    52207              4000
PENSON WORLDWIDE INC         COM            709600100          2,769       300       X      X 28-5284      300
PENTAIR INC                  COM            709631105      1,069,384    33,523       X        28-5284    30795              2728
                                                           1,018,408    31,925       X      X 28-5284    16215             15710
PEOPLES UNITED FINANCIAL INC COM            712704105         54,527     3,150       X        28-5284     3150
                                                             446,079    25,770       X      X 28-5284                      25770
PEP BOYS MANNY MOE & JACK    COM            713278109          3,386       340       X        28-5284                        340
PEPCO HOLDINGS INC           COM            713291102        614,638    24,864       X        28-5284    23861              1003
                                                           1,206,682    48,814       X      X 28-5284    43455              5359
                                                              27,192     1,100       X        28-4580     1100
                                                             143,079     5,788       X      X 28-4580     5788
PEPSI BOTTLING GROUP INC     COM            713409100        187,658     5,534       X        28-5284     5534
                                                               1,933        57       X      X 28-5284       57
                                                             130,859     3,859       X        28-11135    3859
PEPSIAMERICAS INC            COM            71343P200        627,936    24,596       X        28-5284    20996              3600
                                                             160,992     6,306       X      X 28-5284     5356               950
   COLUMN TOTAL                                           10,460,211







                                                                                                                    FILE NO. 28-1235
PAGE 172 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PEPSICO INC                  COM            713448108    223,532,139 3,096,013       X        28-5284  2927469            168544
                                                         143,839,223 1,992,233       X      X 28-5284  1838912      7719  145602
                                                             218,405     3,025       X        28-11135    3025
                                                           2,789,158    38,631       X        28-4580    38441               190
                                                           1,086,682    15,051       X      X 28-4580    13257       756    1038
PERFORMANCE FOOD GROUP CO    COM            713755106          8,824       270       X        28-5284                        270
PERICOM SEMICONDUCTOR CORP   COM            713831105          2,789       190       X        28-5284                        190
PERINI CORP                  COM            713839108          3,949       109       X        28-5284      109
PERKINELMER INC              COM            714046109        259,111    10,685       X        28-5284    10685
                                                             153,018     6,310       X      X 28-5284     4010              2300
                                                              21,195       874       X        28-11135     874
PERMIAN BASIN RTY TR         UNIT BEN INT   714236106         39,892     1,801       X        28-5284     1801
                                                              47,047     2,124       X      X 28-5284     2124
PEROT SYS CORP               CL A           714265105        404,080    26,867       X        28-11135   26867
PERRIGO CO                   COM            714290103          7,848       208       X        28-5284      208
                                                              13,092       347       X      X 28-5284      347
                                                             548,443    14,536       X        28-11135   14536
P T TELEKOMUNIKASI INDONESIA SPONSORED ADR  715684106          2,181        52       X        28-5284       52
                                                              46,595     1,111       X      X 28-5284     1111
                                                              13,631       325       X        28-11135     325
PERVASIVE SOFTWARE INC       COM            715710109          3,900     1,000       X        28-5284     1000
PETRO-CDA                    COM            71644E102         32,123       740       X        28-5284      740
PETROCHINA CO LTD            SPONSORED ADR  71646E100        101,501       810       X        28-5284      810
                                                             510,638     4,075       X      X 28-5284     4075
                                                              34,460       275       X        28-4580      275
                                                              12,531       100       X      X 28-4580      100
PETROBRAS ENERGIA PARTCPTNS  SP ADR B SHS   71646M102         71,153     6,269       X      X 28-5284     4269              2000
PETROHAWK ENERGY CORP        COM            716495106          8,310       412       X        28-5284      412
                                                              20,170     1,000       X      X 28-5284     1000
   COLUMN TOTAL                                          373,832,088







                                                                                                                    FILE NO. 28-1235
PAGE 173 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          7,114        84       X        28-5284       84
                                                               1,270        15       X      X 28-5284       15
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR  71654V408        153,165     1,500       X        28-5284     1500
                                                             114,363     1,120       X      X 28-5284     1120
                                                             604,491     5,920       X        28-11135    5920
PETROLEUM & RES CORP         COM            716549100        154,682     4,246       X        28-5284     4246
                                                              23,607       648       X      X 28-5284       21               627
PETSMART INC                 COM            716768106        330,004    16,145       X        28-5284    16145
                                                             358,742    17,551       X      X 28-5284     9766              7785
PFIZER INC                   COM            717081103    159,547,318 7,622,901       X        28-5284  6777986            844915
                                                         141,256,465 6,748,995       X      X 28-5284  5933228     58819  756948
                                                           1,493,795    71,371       X        28-11135   71371
                                                           1,424,789    68,074       X        28-4580    68074
                                                           2,303,284   110,047       X      X 28-4580   108057      1256     734
PFSWEB INC                   COM            717098107          1,148     1,300       X        28-5284      500               800
                                                             935,057 1,058,955       X      X 28-5284            1058955
PHARMACEUTICAL HLDRS TR      DEPOSITRY RCPT 71712A206         20,922       300       X        28-5284      300
                                                               6,974       100       X      X 28-5284      100
PHARMACEUTICAL PROD DEV INC  COM            717124101      1,874,857    44,746       X        28-5284    24920             19826
                                                             934,580    22,305       X      X 28-5284    17265              5040
                                                              14,330       342       X        28-11135     342
PHARMOS CORP                 COM PAR $.03   717139307        176,089   352,178       X      X 28-5284             352178
PHARMERICA CORP              COM            71714F104            829        50       X        28-5284                         50
                                                               1,326        80       X      X 28-5284       80
                                                               1,176        71       X        28-11135      71
PHILADELPHIA CONS HLDG CORP  COM            717528103         18,032       560       X        28-5284      120               440
                                                              25,824       802       X      X 28-5284      802
                                                             108,965     3,384       X        28-11135    3384
PHILLIPS VAN HEUSEN CORP     COM            718592108          5,119       135       X        28-5284      135
   COLUMN TOTAL                                          311,898,317







                                                                                                                    FILE NO. 28-1235
PAGE 174 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         13,724     1,124       X        28-5284     1124
                                                               1,404       115       X      X 28-5284      115
                                                               7,204       590       X        28-4580      590
PHOENIX TECHNOLOGY LTD       COM            719153108          2,819       180       X        28-5284                        180
PHOTON DYNAMICS INC          COM            719364101          1,060       100       X        28-5284                        100
PHOTRONICS INC               NOTE 2.250% 4  719405AE2      4,854,202     5,000       X        28-11439    5000
PHOTRONICS INC               COM            719405102          4,221       442       X        28-5284      152               290
PIEDMONT NAT GAS INC         COM            720186105        417,376    15,894       X        28-5284    15168               726
                                                               5,252       200       X      X 28-5284                        200
PILGRIMS PRIDE CORP          COM            721467108          2,063       102       X      X 28-5284      102
PIMCO CORPORATE INCOME FD    COM            72200U100        282,030    19,750       X        28-5284     2450             17300
                                                              39,984     2,800       X      X 28-5284     2800
PIMCO MUN INCOME FD II       COM            72200W106        235,620    17,000       X      X 28-5284     4000             13000
PIMCO STRATEGIC GBL GOV FD I COM            72200X104         91,175     8,750       X        28-5284     8750
                                                               1,042       100       X      X 28-5284      100
PIMCO CORPORATE OPP FD       COM            72201B101        128,790     9,000       X      X 28-5284     9000
PIMCO FLOATING RATE INCOME F COM            72201H108        577,200    40,000       X        28-5284      400             39600
PIMCO HIGH INCOME FD         COM SHS        722014107        461,862    39,408       X        28-5284     4208             35200
                                                              46,880     4,000       X      X 28-5284     4000
PIMCO INCOME OPPORTUNITY FD  COM            72202B100         28,250     1,250       X        28-5284     1250
PINNACLE AIRL CORP           COM            723443107          1,397       160       X        28-5284      160
                                                               1,240       142       X        28-11135     142
PINNACLE WEST CAP CORP       COM            723484101         80,158     2,285       X        28-5284     2285
                                                             408,086    11,633       X      X 28-5284     7433              4200
                                                              91,208     2,600       X        28-4580     2600
PIONEER FLOATING RATE TR     COM            72369J102         11,798       850       X      X 28-5284      850
   COLUMN TOTAL                                            7,796,045







                                                                                                                    FILE NO. 28-1235
PAGE 175 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PIONEER NAT RES CO           COM            723787107        120,491     2,453       X        28-5284     2453
                                                             442,178     9,002       X      X 28-5284     6602              2400
PIPER JAFFRAY COS            COM            724078100         14,637       431       X        28-5284      431
                                                                 340        10       X      X 28-5284       10
PIPEX PHARM INC              COM NEW        724153200            194       200       X      X 28-5284      200
PITNEY BOWES INC             COM            724479100      9,279,179   264,968       X        28-5284   249243             15725
                                                          12,571,445   358,979       X      X 28-5284   347954             11025
                                                               1,751        50       X        28-11135      50
                                                             414,322    11,831       X        28-4580    11231               600
                                                             158,325     4,521       X      X 28-4580     4521
PIXELWORKS INC               COM            72581M107          1,617     2,100       X      X 28-5284     2100
PLAINS ALL AMERN PIPELINE L  UNIT LTD PARTN 726503105         60,899     1,281       X        28-5284     1281
                                                           1,114,338    23,440       X      X 28-5284    22440      1000
PLAINS EXPL& PRODTN CO       COM            726505100        207,459     3,904       X        28-5284     3904
                                                              27,101       510       X      X 28-5284      510
                                                             426,077     8,018       X        28-11135    8018
PLANAR SYS INC               COM            726900103            361        90       X        28-5284                         90
PLANTRONICS INC NEW          COM            727493108         18,248       945       X        28-5284      945
PLEXUS CORP                  COM            729132100        164,093     5,850       X        28-5284     5850
                                                              24,880       887       X        28-11135     887
PLUG POWER INC               COM            72919P103          5,878     1,890       X      X 28-5284     1890
PLUM CREEK TIMBER CO INC     COM            729251108      1,033,699    25,398       X        28-5284    25398
                                                           2,941,389    72,270       X      X 28-5284    50270       500   21500
                                                              13,838       340       X        28-11135     340
                                                              81,400     2,000       X      X 28-4580     2000
POLARIS INDS INC             COM            731068102         11,483       280       X        28-5284                        280
                                                               2,051        50       X      X 28-5284                         50
POLO RALPH LAUREN CORP       CL A           731572103         29,145       500       X        28-5284                        500
                                                               2,740        47       X        28-11135      47
   COLUMN TOTAL                                           29,169,558







                                                                                                                    FILE NO. 28-1235
PAGE 176 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
POLYONE CORP                 COM            73179P106          3,695       580       X        28-5284                        580
POOL CORPORATION             COM            73278L105        393,384    20,825       X      X 28-5284                       20825
POPULAR INC                  COM            733174106         32,625     2,798       X        28-5284     2773                25
                                                              58,300     5,000       X      X 28-5284               5000
PORTFOLIO RECOVERY ASSOCS IN COM            73640Q105            944        22       X        28-5284       22
                                                                 643        15       X        28-11135      15
PORTLAND GEN ELEC CO         COM NEW        736508847         17,995       798       X        28-5284                        798
PORTUGAL TELECOM SGPS S A    SPONSORED ADR  737273102        124,401    10,752       X        28-5284    10752
POST PPTYS INC               COM            737464107         55,883     1,447       X        28-5284     1447
                                                              77,240     2,000       X      X 28-5284     2000
                                                               1,313        34       X        28-11135      34
POTASH CORP SASK INC         COM            73755L107      5,354,279    34,497       X        28-5284    32628              1869
                                                           2,241,698    14,443       X      X 28-5284     8029              6414
                                                               8,847        57       X        28-11135      57
                                                              64,567       416       X        28-4580      416
                                                              37,406       241       X      X 28-4580      241
POTLATCH CORP NEW            COM            737630103          1,403        34       X        28-5284       34
                                                              41,270     1,000       X      X 28-5284     1000
POWER-ONE INC                COM            739308104          3,210     1,000       X        28-5284     1000
POWERSHARES QQQ TRUST        UNIT SER 1     73935A104      9,928,287   227,088       X        28-5284   226073              1015
                                                           4,186,277    95,752       X      X 28-5284    92277              3475
                                                             156,561     3,581       X        28-4580     3581
                                                             143,445     3,281       X      X 28-4580     3281
POWERSHARES DB CMDTY IDX TRA UNIT BEN INT   73935S105         19,495       545       X        28-5284      545
                                                              31,478       880       X      X 28-5284      880
                                                              17,348       485       X        28-4580      485
                                                              71,433     1,997       X      X 28-4580     1997
POWERSHARES ETF TRUST        WILDERHILL PRO 73935X161         52,120     2,000       X        28-5284     2000
POWERSHARES ETF TRUST        CLEANTECH PORT 73935X278          9,536       310       X        28-5284      310
   COLUMN TOTAL                                           23,135,083







                                                                                                                    FILE NO. 28-1235
PAGE 177 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
POWERSHARES ETF TRUST        HI YLD EQ DVDN 73935X302         11,920     1,000       X        28-5284     1000
                                                               7,748       650       X      X 28-5284      650
POWERSHARES ETF TRUST        HLTHCR SVC POR 73935X328         12,488       547       X        28-4580      547
POWERSHARES ETF TRUST        BNKING SEC POR 73935X336         19,464     1,032       X        28-4580     1032
POWERSHARES ETF TRUST        GOLDEN DRG USX 73935X401         54,516     2,185       X      X 28-5284     2185
POWERSHARES ETF TRUST        WNDRHLL CLN EN 73935X500         93,492     4,770       X        28-5284     4770
                                                             254,800    13,000       X      X 28-5284    12300               700
POWERSHARES ETF TRUST        WATER RESOURCE 73935X575        108,706     5,650       X        28-5284     5650
                                                             739,008    38,410       X      X 28-5284    34810              3600
POWERSHARES ETF TRUST        FTSE RAFI 1000 73935X583      4,658,734    88,704       X        28-5284    88704
                                                           5,193,755    98,891       X      X 28-5284    18891             80000
                                                             386,075     7,351       X        28-4580     7351
                                                             117,067     2,229       X      X 28-4580     2229
POWERSHARES ETF TRUST        DYNM LRG CP GR 73935X609         20,542     1,248       X        28-4580     1248
POWERSHARES ETF TRUST        DYN OIL SVCS   73935X625          9,683       370       X      X 28-5284      370
POWERSHARES ETF TRUST        DYN BLDG CNSTR 73935X666         13,272       800       X      X 28-5284      800
POWERSHARES ETF TRUST        VAL LINE TIME  73935X682         15,640     1,000       X        28-5284     1000
POWERSHARES ETF TRUST        INTL DIV ACHV  73935X716        282,916    15,268       X        28-5284    15268
                                                              58,592     3,162       X      X 28-5284     2162              1000
                                                              20,383     1,100       X      X 28-4580     1100
POWERSHARES ETF TRUST        DYN PHRMA PORT 73935X799         21,492     1,262       X        28-4580     1262
POWERSHARES ETF TRUST        DYNM MC GRWTH  73935X807         24,588     1,200       X      X 28-5284     1200
POWERSHARES ETF TRUST        DYN BIOT & GEN 73935X856         18,039     1,075       X        28-5284     1075
                                                               1,678       100       X      X 28-5284      100
POWERSHARES DB G10 CURCY HAR COM UT BEN INT 73935Y102          8,999       350       X        28-5284      350
                                                               2,573       100       X        28-11439     100
   COLUMN TOTAL                                           12,156,170







                                                                                                                    FILE NO. 28-1235
PAGE 178 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
POWERSHS DB MULTI SECT COMM  DB AGRICULT FD 73936B408        770,918    21,150       X        28-5284    21150
                                                              10,242       281       X        28-4580      281
POWERSHS DB MULTI SECT COMM  DB GOLD FUND   73936B606         34,350     1,000       X      X 28-5284     1000
POWERSHS DB US DOLLAR INDEX  DOLL INDX BEAR 73936D206         57,653     1,955       X        28-5284     1955
POWERSHARES GLOBAL ETF TRUST GBL CLEAN ENER 73936T615        194,332     7,600       X      X 28-5284     7600
POWERSHARES GLOBAL ETF TRUST GBL WTR PORT   73936T623        103,707     4,661       X      X 28-5284     4661
POWERWAVE TECHNOLOGIES INC   COM            739363109         12,750     5,000       X        28-5284     5000
POZEN INC                    COM            73941U102          3,108       300       X      X 28-5284      300
PRAXAIR INC                  COM            74005P104     57,718,018   685,243       X        28-5284   649682             35561
                                                          22,447,716   266,505       X      X 28-5284   244818      2969   18718
                                                             230,032     2,731       X        28-11135    2731
                                                           1,178,462    13,991       X        28-4580    13642               349
                                                             507,907     6,030       X      X 28-4580     6030
PRE PAID LEGAL SVCS INC      COM            740065107          2,969        70       X        28-5284                         70
PRECISION CASTPARTS CORP     COM            740189105     22,243,844   217,906       X        28-5284   202668       440   14798
                                                           6,999,524    68,569       X      X 28-5284    63890      1482    3197
                                                           1,477,914    14,478       X        28-11135   14478
                                                             430,880     4,221       X        28-4580     3929               292
                                                             119,332     1,169       X      X 28-4580     1169
PRECISION DRILLING TR        TR UNIT        740215108         76,560     3,300       X        28-5284     2500               800
                                                              20,880       900       X      X 28-5284      900
PRESIDENTIAL LIFE CORP       COM            740884101          2,442       140       X        28-5284                        140
PRESSTEK INC                 COM            741113104         13,140     3,000       X      X 28-5284               3000
PRESTIGE BRANDS HLDGS INC    COM            74112D101        940,700   115,000       X      X 28-5284   115000
                                                              63,027     7,705       X        28-11135    7705
                                                              49,080     6,000       X        28-4580                       6000
   COLUMN TOTAL                                          115,709,487







                                                                                                                    FILE NO. 28-1235
PAGE 179 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PRICE T ROWE GROUP INC       COM            74144T108     11,696,000   233,920       X        28-5284   208138             25782
                                                          31,024,200   620,484       X      X 28-5284   579206       300   40978
                                                               9,700       194       X        28-11135     194
                                                             198,500     3,970       X      X 28-4580     3970
PRICELINE COM INC            COM NEW        741503403         32,874       272       X        28-5284       56               216
                                                               8,218        68       X      X 28-5284       68
                                                             102,973       852       X        28-11135     852
PRIDE INTL INC DEL           NOTE 3.250% 5  74153QAD4      9,199,808     6,735       X        28-11439    6735
PRIDE INTL INC DEL           COM            74153Q102         34,950     1,000       X        28-5284     1000
                                                              31,455       900       X      X 28-5284      900
PRINCIPAL FINANCIAL GROUP IN COM            74251V102        452,614     8,123       X        28-5284     8123
                                                             690,259    12,388       X      X 28-5284     7038       150    5200
PROASSURANCE CORP            COM            74267C106         29,983       557       X        28-5284                        557
PROCTER & GAMBLE CO          COM            742718109    661,019,990 9,433,709       X        28-5284  9046379      1250  386080
                                                         447,013,737 6,379,531       X      X 28-5284  5323333     22904 1033294
                                                           1,959,788    27,969       X        28-11135   27969
                                                           8,394,596   119,803       X        28-4580   119367               436
                                                           5,272,277    75,243       X      X 28-4580    71487       300    3456
PRIVATEBANCORP INC           COM            742962103         44,058     1,400       X      X 28-5284     1400
PROGENICS PHARMACEUTICALS IN COM            743187106            327        50       X        28-5284       50
                                                               7,183     1,100       X      X 28-5284     1100
PROGRESS ENERGY INC          COM            743263105      2,138,042    51,272       X        28-5284    38671             12601
                                                           1,848,853    44,337       X      X 28-5284    34623              9714
                                                             907,225    21,756       X        28-11135   21756
PROGRESS SOFTWARE CORP       COM            743312100         52,958     1,770       X        28-5284     1450               320
                                                              56,160     1,877       X        28-11135    1877
PROGRESSIVE CORP OHIO        COM            743315103     17,224,372 1,071,834       X        28-5284  1020792             51042
                                                           4,719,293   293,671       X      X 28-5284   252615      4360   36696
                                                               7,392       460       X        28-4580      460
   COLUMN TOTAL                                        1,204,177,785







                                                                                                                    FILE NO. 28-1235
PAGE 180 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PROLOGIS                     SH BEN INT     743410102      4,011,956    68,161       X        28-5284    66107              2054
                                                           1,365,611    23,201       X      X 28-5284    22487               714
                                                             107,596     1,828       X        28-11135    1828
PROSHARES TR                 ULTRA QQQ PSHS 74347R206         41,970       600       X      X 28-5284      600
PROSHARES TR                 ULTRASHRT O&G  74347R586         11,550       300       X        28-5284      300
PROSHARES TR                 ULTRASHRT FINL 74347R628      1,764,750    15,000       X        28-5284    15000
                                                           2,353,000    20,000       X      X 28-5284    20000
                                                              11,765       100       X        28-11439     100
PROSHARES TR                 ULTRA FINL PRO 74347R743         11,940       400       X        28-5284      400
PROSHARES TR                 ULTSHT RUS2000 74347R834         24,870       300       X      X 28-5284      300
PROSHARES TR                 ULTRASHORT QQQ 74347R875         24,850       500       X      X 28-5284      500
PROSHARES TR                 ULTRASHT SP500 74347R883      2,453,341    38,054       X        28-5284    38054
                                                           1,959,888    30,400       X      X 28-5284    30400
PROTECTION ONE INC           COM NEW        743663403          9,590     1,000       X      X 28-5284               1000
PROTECTIVE LIFE CORP         COM            743674103        204,950     5,053       X        28-5284     3548              1505
                                                             291,505     7,187       X      X 28-5284     4437              2750
PROVIDENT BANKSHARES CORP    COM            743859100         17,807     1,658       X        28-5284      853               805
                                                             127,860    11,905       X      X 28-5284     7030              4875
PROVIDENT ENERGY TR          TR UNIT        74386K104        223,236    21,060       X        28-5284    21060
                                                             271,625    25,625       X      X 28-5284    25625
PROVIDENT FINL SVCS INC      COM            74386T105         88,460     6,256       X      X 28-5284     6256
PROXIM WIRELESS CORP         COM            744285107        410,435   519,538       X      X 28-5284             519538
PRUDENTIAL FINL INC          COM            744320102      2,164,082    27,656       X        28-5284    27514               142
                                                             814,191    10,405       X      X 28-5284     7372        33    3000
                                                              92,648     1,184       X        28-11135    1184
                                                              22,693       290       X        28-4580      290
                                                              13,694       175       X      X 28-4580      175
   COLUMN TOTAL                                           18,895,863







                                                                                                                    FILE NO. 28-1235
PAGE 181 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
PRUDENTIAL PLC               ADR            74435K204          5,283       198       X        28-5284      198
                                                             432,723    16,219       X        28-11135   16219
                                                              16,408       615       X        28-4580      615
PUBLIC SVC ENTERPRISE GROUP  COM            744573106      8,111,708   201,834       X        28-5284   201834
                                                          33,165,069   825,207       X      X 28-5284   294987            530220
                                                             669,204    16,651       X        28-11135   16651
                                                              57,231     1,424       X        28-4580     1424
                                                             504,304    12,548       X      X 28-4580    12548
PUBLIC STORAGE               COM            74460D109      1,692,022    19,093       X        28-5284    18493               600
                                                             384,079     4,334       X      X 28-5284     2581              1753
PUBLIC STORAGE               COM A DP1/1000 74460D729         25,386     1,011       X        28-5284     1011
                                                              12,706       506       X      X 28-5284      506
PUGET ENERGY INC NEW         COM            745310102        104,722     4,048       X        28-5284     3204               844
                                                             125,883     4,866       X      X 28-5284     4866
                                                               3,260       126       X        28-11135     126
                                                              13,220       511       X        28-4580      511
PULTE HOMES INC              COM            745867101        165,535    11,377       X        28-5284      400             10977
                                                               5,238       360       X        28-4580      360
PUTNAM MANAGED MUN INCOM TR  COM            746823103         89,216    12,800       X        28-5284    12800
                                                              13,375     1,919       X      X 28-5284     1919
PUTNAM PREMIER INCOME TR     SH BEN INT     746853100         21,621     3,562       X        28-5284     3562
                                                             441,216    72,688       X      X 28-5284    16188             56500
QIMONDA AG                   SPONSORED ADR  746904101          3,073       713       X        28-4580      713
PUTNAM MASTER INTER INCOME T SH BEN INT     746909100         14,537     2,356       X        28-5284     2356
                                                             516,879    83,773       X      X 28-5284                      83773
PUTNAM MUN OPPORTUNITIES TR  SH BEN INT     746922103          8,243       750       X      X 28-5284      750
QLOGIC CORP                  COM            747277101      1,731,787   112,820       X        28-5284    91835             20985
                                                             171,014    11,141       X      X 28-5284     5441              5700
                                                             327,109    21,310       X        28-11135   21310
QC HLDGS INC                 COM            74729T101          1,439       159       X        28-5284      159
   COLUMN TOTAL                                           48,833,490







                                                                                                                    FILE NO. 28-1235
PAGE 182 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
QUAKER CHEM CORP             COM            747316107        127,350     4,070       X        28-5284     4000                70
                                                              85,234     2,724       X      X 28-5284     2724
QUALCOMM INC                 COM            747525103     36,074,670   879,870       X        28-5284   794859             85011
                                                          20,139,856   491,216       X      X 28-5284   391920      4527   94769
                                                               1,599        39       X        28-11135      39
                                                             940,868    22,948       X        28-4580    22444               504
                                                             175,480     4,280       X      X 28-4580     4102               178
QUALSTAR CORP                COM            74758R109        183,361    57,480       X      X 28-5284              57480
QUALITY SYS INC              COM            747582104         18,280       612       X        28-5284      612
                                                              35,844     1,200       X      X 28-5284     1200
                                                                 777        26       X        28-11135      26
QUANTA SVCS INC              COM            74762E102         18,536       800       X        28-5284      400               400
QUANEX CORP                  COM            747620102         14,332       277       X        28-5284                        277
                                                               5,174       100       X      X 28-5284      100
                                                              64,002     1,237       X        28-11135    1237
QUANTUM CORP                 COM DSSG       747906204            332       155       X      X 28-5284      155
                                                                 392       183       X        28-11135     183
QUATERRA RES INC             COM            747952109         85,425    25,000       X        28-5284                      25000
QUEST DIAGNOSTICS INC        COM            74834L100      2,468,981    54,539       X        28-5284    53155              1384
                                                           1,183,131    26,135       X      X 28-5284    22910       300    2925
                                                              65,234     1,441       X        28-11135    1441
                                                              13,581       300       X        28-4580      300
                                                              98,870     2,184       X      X 28-4580     2184
QUESTAR CORP                 COM            748356102      2,668,501    47,180       X        28-5284    31944             15236
                                                           8,352,159   147,669       X      X 28-5284   128797             18872
QUICKSILVER RESOURCES INC    COM            74837R104          1,607        44       X        28-5284       44
                                                              18,265       500       X      X 28-5284      500
                                                              10,667       292       X        28-11135     292
QUIKSILVER INC               COM            74838C106         10,399     1,060       X        28-5284      200               860
   COLUMN TOTAL                                           72,862,907







                                                                                                                    FILE NO. 28-1235
PAGE 183 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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         71,637    15,814       X        28-5284    15774                40
                                                             794,553   175,398       X      X 28-5284    32453            142945
                                                               1,903       420       X        28-4580      420
RAIT FINANCIAL TRUST         COM            749227104          1,388       200       X      X 28-5284      200
RCN CORP                     COM NEW        749361200        192,922    17,256       X      X 28-5284              17256
RGC RES INC                  COM            74955L103         23,180       850       X      X 28-5284                        850
R H DONNELLEY CORP           COM NEW        74955W307            875       173       X        28-5284      173
                                                                 309        61       X      X 28-5284       61
RLI CORP                     COM            749607107          7,931       160       X        28-5284                        160
                                                               4,957       100       X      X 28-5284                        100
RMK ADVANTAGE INCOME FD INC  COM            74963L103              3         1       X        28-5284        1
RPM INTL INC                 COM            749685103        873,198    41,700       X        28-5284     6500             35200
                                                           1,410,309    67,350       X      X 28-5284    21020             46330
                                                              20,940     1,000       X        28-4580     1000
                                                              35,786     1,709       X      X 28-4580     1709
RTI INTL METALS INC          COM            74973W107         13,789       305       X        28-5284      125               180
RF MICRODEVICES INC          COM            749941100            915       344       X        28-5284      344
                                                               1,809       680       X        28-4580      680
RADIAN GROUP INC             COM            750236101         10,229     1,557       X        28-5284                       1557
                                                                  26         4       X        28-11135       4
RADIANT SYSTEMS INC          COM            75025N102          2,375       170       X        28-5284                        170
RADIOSHACK CORP              COM            750438103          4,290       264       X        28-5284      264
                                                              97,500     6,000       X      X 28-5284     6000
                                                             189,475    11,660       X        28-11135   11660
RADISYS CORP                 COM            750459109          1,715       170       X        28-5284                        170
RAINIER PAC FINL GROUP INC   COM            75087U101         20,925     1,500       X      X 28-5284     1500
   COLUMN TOTAL                                            3,782,939







                                                                                                                    FILE NO. 28-1235
PAGE 184 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
RALCORP HLDGS INC NEW        COM            751028101         11,630       200       X        28-5284                        200
                                                              85,655     1,473       X      X 28-5284     1473
                                                              71,292     1,226       X        28-11135    1226
RAMCO-GERSHENSON PPTYS TR    COM SH BEN INT 751452202            866        41       X        28-5284       41
RANDGOLD RES LTD             ADR            752344309         30,816       665       X        28-5284      665
RANGE RES CORP               COM            75281A109         90,607     1,428       X        28-5284     1428
                                                              20,494       323       X      X 28-5284      323
                                                              28,933       456       X        28-11135     456
RAVEN INDS INC               COM            754212108        279,215     9,215       X      X 28-5284      615              8600
RAYMOND JAMES FINANCIAL INC  COM            754730109         74,616     3,247       X        28-5284     3247
                                                             111,453     4,850       X      X 28-5284     4850
RAYONIER INC                 COM            754907103        265,679     6,116       X        28-5284     3519              2597
                                                             950,554    21,882       X      X 28-5284    10243             11639
RAYTHEON CO                  *W EXP 06/16/2 755111119        141,008     5,045       X        28-5284     5045
                                                              13,192       472       X      X 28-5284      120               352
RAYTHEON CO                  COM NEW        755111507      9,578,174   148,246       X        28-5284   140589              7657
                                                          21,727,374   336,285       X      X 28-5284   327489       400    8396
                                                           1,638,768    25,364       X        28-11135   25364
                                                              47,682       738       X        28-4580      738
                                                             287,773     4,454       X      X 28-4580     3404      1050
REALTY INCOME CORP           COM            756109104        101,609     3,966       X        28-5284     3966
                                                             598,996    23,380       X      X 28-5284    23380
RED HAT INC                  COM            756577102         82,755     4,500       X        28-5284     4500
                                                              20,229     1,100       X      X 28-5284     1100
REDDY ICE HLDGS INC          COM            75734R105         50,817     3,900       X      X 28-5284     3900
REDWOOD TR INC               COM            758075402        130,860     3,600       X        28-5284     3600
                                                             352,050     9,685       X      X 28-5284     7305              2380
   COLUMN TOTAL                                           36,793,097







                                                                                                                    FILE NO. 28-1235
PAGE 185 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
REED ELSEVIER N V            SPONS ADR NEW  758204200        142,601     3,734       X        28-5284     3734
                                                               9,891       259       X      X 28-5284      259
                                                             349,820     9,160       X        28-11135    9160
                                                               5,385       141       X        28-4580      141
REED ELSEVIER P L C          SPONS ADR NEW  758205207          5,661       111       X        28-5284      111
                                                             882,963    17,313       X      X 28-5284    17313
RENEGY HOLDINGS INC          COM            75845J109            460       107       X        28-5284      107
REGAL BELOIT CORP            COM            758750103          9,158       250       X        28-5284                        250
                                                               2,894        79       X        28-11135      79
REGAL ENTMT GROUP            CL A           758766109        377,872    19,589       X        28-5284      689             18900
                                                               6,636       344       X      X 28-5284      344
REGENCY CTRS CORP            COM            758849103        948,734    14,650       X        28-5284    14650
                                                              68,646     1,060       X      X 28-5284     1060
REGENERON PHARMACEUTICALS    COM            75886F107          9,595       500       X        28-5284                        500
REGENT COMMUNICATIONS INC DE COM            758865109        407,666   326,133       X      X 28-5284             326133
REGIS CORP MINN              COM            758932107          1,457        53       X        28-5284       53
                                                               2,337        85       X      X 28-5284                         85
REGIONS FINANCIAL CORP NEW   COM            7591EP100      3,245,952   164,352       X        28-5284    92005             72347
                                                           2,462,726   124,695       X      X 28-5284   106646             18049
                                                               4,029       204       X        28-11135     204
                                                           3,689,300   186,800       X        28-1500   186800
REHABCARE GROUP INC          COM            759148109          1,800       120       X        28-5284                        120
                                                                 660        44       X        28-11135      44
REINSURANCE GROUP AMER INC   COM            759351109         70,119     1,288       X        28-5284                       1288
                                                              79,047     1,452       X        28-11135    1452
RELIANCE STEEL & ALUMINUM CO COM            759509102         11,972       200       X        28-5284      200
RELIANT ENERGY INC           COM            75952B105        100,134     4,234       X        28-5284     4234
                                                             159,779     6,756       X      X 28-5284     6756
                                                               3,713       157       X        28-11135     157
   COLUMN TOTAL                                           13,061,007







                                                                                                                    FILE NO. 28-1235
PAGE 186 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
RELM WIRELESS CORP           COM            759525108            246       150       X        28-5284      150
RENTECH INC                  COM            760112102          1,335     1,500       X        28-5284     1500
REPSOL YPF S A               SPONSORED ADR  76026T205        107,703     3,130       X        28-5284     3130
                                                                 172         5       X      X 28-5284        5
                                                             124,599     3,621       X        28-11135    3621
REPUBLIC AWYS HLDGS INC      COM            760276105         32,382     1,495       X        28-5284       58              1437
REPUBLIC BANCORP KY          CL A           760281204        166,106     8,798       X        28-5284     8798
                                                              99,120     5,250       X      X 28-4580     5250
REPUBLIC FIRST BANCORP INC   COM            760416107          5,423     1,100       X        28-5284     1100
                                                              13,360     2,710       X      X 28-4580     2710
REPUBLIC SVCS INC            COM            760759100         76,697     2,623       X        28-5284     2623
                                                               8,772       300       X      X 28-5284      300
RES-CARE INC                 COM            760943100        934,761    54,505       X        28-5284    54505
RESEARCH IN MOTION LTD       COM            760975102        177,099     1,578       X        28-5284     1578
                                                             251,956     2,245       X      X 28-5284     2245
                                                             153,643     1,369       X        28-11135    1369
RESMED INC                   COM            761152107        961,704    22,800       X        28-5284    21800      1000
                                                             375,402     8,900       X      X 28-5284     1400              7500
RESOURCE AMERICA INC         CL A           761195205         22,198     2,349       X        28-5284     2349
                                                              28,180     2,982       X      X 28-5284     2982
RESOURCE CAP CORP            COM            76120W302          1,166       154       X        28-5284      154
RESPIRONICS INC              COM            761230101         23,086       350       X        28-5284                        350
                                                              87,397     1,325       X      X 28-5284     1000               325
RETRACTABLE TECHNOLOGIES INC COM            76129W105      1,048,480   655,300       X      X 28-5284             655300
REUTERS GROUP PLC            SPONSORED ADR  76132M102          1,940        28       X        28-5284       28
                                                             106,014     1,530       X      X 28-5284     1530
REVLON INC                   CL A           761525500         11,113    11,340       X      X 28-5284              11340
   COLUMN TOTAL                                            4,820,054







                                                                                                                    FILE NO. 28-1235
PAGE 187 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
REYNOLDS AMERICAN INC        COM            761713106        630,558    10,682       X        28-5284     4982              5700
                                                             366,753     6,213       X      X 28-5284     6213
RICKS CABARET INTL INC       COM NEW        765641303          4,574       200       X      X 28-5284      200
RIO TINTO PLC                SPONSORED ADR  767204100        108,726       264       X        28-5284      264
                                                           1,998,248     4,852       X      X 28-5284     1537              3315
                                                              12,355        30       X        28-11135      30
RITCHIE BROS AUCTIONEERS     COM            767744105          9,362       114       X        28-5284                        114
                                                               8,212       100       X      X 28-5284      100
RITE AID CORP                COM            767754104         10,952     3,725       X        28-5284     2725              1000
                                                              21,756     7,400       X      X 28-5284     6800               600
RIVERBED TECHNOLOGY INC      COM            768573107         11,888       800       X      X 28-5284      800
RIVUS BOND FUND              COM            769667106         41,136     2,400       X      X 28-5284                       2400
ROBBINS & MYERS INC          COM            770196103          9,142       280       X        28-5284                        280
ROBERT HALF INTL INC         COM            770323103         64,865     2,520       X        28-5284     2520
                                                              10,296       400       X      X 28-5284      400
                                                               2,059        80       X        28-11135      80
ROCKWELL AUTOMATION INC      COM            773903109      1,138,696    19,831       X        28-5284    19772                59
                                                           1,172,516    20,420       X      X 28-5284    20420
                                                              14,355       250       X      X 28-4580      250
ROCKWELL COLLINS INC         COM            774341101      7,060,654   123,546       X        28-5284   109814       660   13072
                                                           3,678,746    64,370       X      X 28-5284    61100       100    3170
                                                              22,860       400       X        28-4580      400
                                                               5,715       100       X      X 28-4580      100
ROCKWOOD HLDGS INC           COM            774415103            721        22       X        28-5284       22
ROFIN SINAR TECHNOLOGIES INC COM            775043102          5,747       128       X        28-5284      128
ROGERS CORP                  COM            775133101          4,677       140       X        28-5284                        140
   COLUMN TOTAL                                           16,415,569







                                                                                                                    FILE NO. 28-1235
PAGE 188 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ROHM & HAAS CO               COM            775371107      3,720,812    68,802       X        28-5284    61032              7770
                                                           6,155,007   113,813       X      X 28-5284   102553             11260
                                                               2,109        39       X        28-11135      39
                                                             232,544     4,300       X      X 28-4580     4300
ROLLINS INC                  COM            775711104         19,105     1,080       X        28-5284     1080
                                                             154,115     8,712       X      X 28-5284     8712
ROPER INDS INC NEW           COM            776696106        713,280    12,000       X        28-5284    12000
                                                           2,098,232    35,300       X      X 28-5284    30100              5200
                                                              24,668       415       X        28-11135     415
                                                             346,416     5,828       X      X 28-4580     5828
ROSS STORES INC              COM            778296103        100,126     3,342       X        28-5284     3342
                                                              54,048     1,804       X      X 28-5284     1804
ROWAN COS INC                COM            779382100        172,956     4,200       X        28-5284     4200
ROYAL BANCSHARES PA INC      CL A           780081105          8,942       618       X      X 28-5284      618
ROYAL BK CDA MONTREAL QUE    COM            780087102        351,075     7,550       X      X 28-5284     3500              4050
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF T  780097713         47,717     1,950       X        28-5284     1950
ROYAL BK SCOTLAND GROUP PLC  SP ADR REP SHS 780097721        171,432    25,285       X        28-5284    25285
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF S  780097739         13,380       600       X        28-5284      600
                                                             112,169     5,030       X      X 28-5284     1000              4030
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SHS R 780097747         21,250     1,000       X        28-5284     1000
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SHS Q 780097754          9,336       400       X        28-5284      400
ROYAL BK SCOTLAND GROUP PLC  ADR PFD SER P  780097762         71,412     3,300       X        28-5284     3300
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SER N 780097770         33,105     1,500       X        28-5284     1500
                                                              52,968     2,400       X      X 28-5284     2400
ROYAL BK SCOTLAND GROUP PLC  SPON ADR F     780097804         12,570       500       X        28-5284      500
                                                              32,682     1,300       X      X 28-5284     1300
ROYAL BK SCOTLAND GROUP PLC  SPON ADR SER H 780097879         57,984     2,400       X        28-5284     1400              1000
                                                             128,048     5,300       X      X 28-5284     5300
   COLUMN TOTAL                                           14,917,488







                                                                                                                    FILE NO. 28-1235
PAGE 189 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ROYAL DUTCH SHELL PLC        SPON ADR B     780259107        608,711     9,034       X        28-5284     7028              2006
                                                           2,533,353    37,598       X      X 28-5284    37240       258     100
                                                               4,986        74       X        28-11135      74
                                                             117,982     1,751       X        28-4580     1751
ROYAL DUTCH SHELL PLC        SPONS ADR A    780259206     30,826,541   446,891       X        28-5284   429873             17018
                                                          41,945,082   608,076       X      X 28-5284   585757             22319
                                                             143,547     2,081       X        28-11135    2081
                                                             691,593    10,026       X        28-4580    10026
                                                             614,129     8,903       X      X 28-4580     8903
ROYAL GOLD INC               COM            780287108         24,770       821       X        28-5284      821
ROYAL KPN NV                 SPONSORED ADR  780641205         71,479     4,227       X        28-5284     4227
ROYCE FOCUS TR               COM            78080N108         58,766     7,264       X        28-5284                       7264
                                                              29,059     3,592       X      X 28-5284     3474               118
ROYCE VALUE TR INC           COM            780910105        155,749     9,933       X        28-5284     9933
                                                              82,179     5,241       X      X 28-5284     5241
RUBY TUESDAY INC             COM            781182100            548        73       X        28-5284       73
                                                              46,020     6,136       X      X 28-5284     6136
RUDOLPH TECHNOLOGIES INC     COM            781270103          1,856       190       X        28-5284                        190
RUSS BERRIE & CO             COM            782233100          1,547       110       X        28-5284                        110
RYANAIR HLDGS PLC            SPONSORED ADR  783513104          2,319        82       X        28-5284       82
                                                              42,420     1,500       X      X 28-5284                       1500
RYDER SYS INC                COM            783549108        116,521     1,913       X        28-5284     1913
                                                                 365         6       X      X 28-5284        6
RYDEX ETF TRUST              S&P 500 EQ TRD 78355W106         98,634     2,304       X        28-5284     2304
RYDEX ETF TRUST              TOP 50 ETF     78355W205      1,329,480    13,500       X      X 28-5284    13500
RYDEX ETF TRUST              INV S&P500 2X  78355W767         27,870       300       X        28-5284      300
RYLAND GROUP INC             COM            783764103         82,521     2,509       X        28-5284       25              2484
   COLUMN TOTAL                                           79,658,027







                                                                                                                    FILE NO. 28-1235
PAGE 190 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
S & T BANCORP INC            COM            783859101        161,107     5,008       X        28-5284     5008
                                                             242,884     7,550       X      X 28-5284     7150               400
SAIC INC                     COM            78390X101         44,839     2,412       X        28-5284     2412
                                                             141,284     7,600       X      X 28-5284     3100              4500
SCPIE HLDGS INC              COM            78402P104          1,929        70       X        28-5284                         70
SEI INVESTMENTS CO           COM            784117103      1,472,882    59,655       X        28-5284    50255              9400
                                                             182,706     7,400       X      X 28-5284     7400
SJW CORP                     COM            784305104         40,026     1,400       X      X 28-5284     1400
SK TELECOM LTD               SPONSORED ADR  78440P108         17,828       825       X        28-5284      825
                                                                 648        30       X      X 28-5284       30
                                                                 972        45       X        28-11135      45
SL GREEN RLTY CORP           COM            78440X101      1,103,674    13,547       X        28-5284    13547
                                                             216,221     2,654       X      X 28-5284     2654
SLM CORP                     COM            78442P106        884,206    57,603       X        28-5284    13673             43930
                                                             486,365    31,685       X      X 28-5284     3185             28500
                                                               2,533       165       X        28-4580      165
SPDR TR                      UNIT SER 1     78462F103    468,385,417 3,549,181       X        28-5284  3501655      1177   46349
                                                         152,870,485 1,158,373       X      X 28-5284  1085329             73044
                                                             900,167     6,821       X        28-11135    6821
                                                           8,838,823    66,976       X        28-4580    66076               900
                                                           2,107,429    15,969       X      X 28-4580    15969
SPSS INC                     COM            78462K102          5,817       150       X        28-5284                        150
                                                              67,283     1,735       X        28-11135    1735
S1 CORPORATION               COM            78463B101         64,296     9,043       X        28-11135    9043
SPDR INDEX SHS FDS           EMERG MKTS ETF 78463X509         20,943       300       X      X 28-5284      300
SPDR INDEX SHS FDS           MIDEAST AFRICA 78463X806         18,915       300       X        28-5284      300
SPDR INDEX SHS FDS           MSCI ACWI EXUS 78463X848      3,446,805    91,500       X        28-5284    91500
SPDR INDEX SHS FDS           DJWS INTL REAL 78463X863         52,480       993       X        28-5284      993
                                                             231,377     4,378       X      X 28-5284     3028              1350
   COLUMN TOTAL                                          642,010,341







                                                                                                                    FILE NO. 28-1235
PAGE 191 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SPX CORP                     COM            784635104     19,904,565   189,748       X        28-5284   179287             10461
                                                           4,788,161    45,645       X      X 28-5284    41701      1346    2598
                                                             193,436     1,844       X        28-4580     1844
                                                              28,113       268       X      X 28-4580      268
SPDR SERIES TRUST            MORGAN STN TCH 78464A102      3,358,771    63,589       X        28-5284    62720               869
                                                             529,679    10,028       X      X 28-5284     9653       375
                                                             129,462     2,451       X        28-4580     2451
                                                              65,338     1,237       X      X 28-4580     1237
SPDR SERIES TRUST            DJWS SMCAP VL  78464A300         39,107       641       X      X 28-5284      641
SPDR SERIES TRUST            LEHMAN YLD ETF 78464A417          7,831       175       X        28-4580      175
SPDR SERIES TRUST            DJWS REIT ETF  78464A607      1,055,191    15,072       X        28-5284    14472               600
                                                             653,053     9,328       X      X 28-5284     6898              2430
                                                             356,071     5,086       X        28-11135    5086
SPDR SERIES TRUST            S&P RETAIL ETF 78464A714          9,513       300       X        28-5284      300
                                                              11,225       354       X        28-4580      354
SPDR SERIES TRUST            S&P OILGAS EXP 78464A730         70,520     1,312       X      X 28-5284                       1312
SPDR SERIES TRUST            OILGAS EQUIP   78464A748          6,634       169       X        28-4580      169
SPDR SERIES TRUST            KBW INS ETF    78464A789          6,736       146       X        28-4580      146
SPDR SERIES TRUST            KBW BK ETF     78464A797         19,425       500       X        28-5284      500
SPDR SERIES TRUST            S&P BIOTECH    78464A870         21,408       400       X      X 28-5284                        400
SRA INTL INC                 CL A           78464R105         10,940       450       X        28-5284      450
                                                             644,215    26,500       X      X 28-5284     2850             23650
SWS GROUP INC                COM            78503N107          2,079       170       X        28-5284                        170
S Y BANCORP INC              COM            785060104        245,159    10,549       X        28-5284     9849               700
                                                              42,645     1,835       X      X 28-5284     1835
SAFECO CORP                  COM            786429100      9,411,909   214,492       X        28-5284   210358              4134
                                                           6,167,378   140,551       X      X 28-5284   139142       425     984
                                                             245,158     5,587       X        28-4580     5587
                                                             142,171     3,240       X      X 28-4580     3240
   COLUMN TOTAL                                           48,165,893






                                                                                                                    FILE NO. 28-1235
PAGE 192 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          8,377     5,622       X        28-5284     5622
                                                             542,509   364,100       X      X 28-5284   364100
                                                              44,700    30,000       X        28-4580                      30000
SAFETY INS GROUP INC         COM            78648T100            956        28       X        28-5284       28
                                                              10,239       300       X      X 28-5284      300
SAFEWAY INC                  COM NEW        786514208        550,019    18,740       X        28-5284    10840              7900
                                                              72,964     2,486       X      X 28-5284     2486
                                                           1,054,017    35,912       X        28-11135   35912
                                                              12,034       410       X        28-4580      410
SAGA COMMUNICATIONS          CL A           786598102            353        63       X        28-11135      63
SAIA INC                     COM            78709Y105          1,190        75       X      X 28-5284       75
ST JOE CO                    COM            790148100         79,721     1,857       X        28-5284     1857
                                                             605,313    14,100       X      X 28-5284     5100              9000
ST JUDE MED INC              COM            790849103      2,716,133    62,888       X        28-5284    61903               985
                                                             622,325    14,409       X      X 28-5284    13976               433
                                                              94,888     2,197       X        28-11135    2197
                                                              11,791       273       X        28-4580      273
ST MARY LD & EXPL CO         COM            792228108         45,430     1,180       X        28-5284      700               480
                                                             462,000    12,000       X      X 28-5284     7225              4775
                                                              45,161     1,173       X        28-11135    1173
SAKS INC                     COM            79377W108          7,133       572       X        28-5284      572
                                                               6,235       500       X      X 28-5284                        500
                                                                 898        72       X        28-11135      72
SALESFORCE COM INC           COM            79466L302      1,633,381    28,225       X        28-5284    24250              3975
                                                              33,275       575       X      X 28-5284      375               200
                                                                 868        15       X        28-11135      15
SALISBURY BANCORP INC        COM            795226109          6,290       200       X        28-5284      200
SALLY BEAUTY HLDGS INC       COM            79546E104         82,227    11,917       X        28-11135   11917
SAN JUAN BASIN RTY TR        UNIT BEN INT   798241105        123,008     3,304       X        28-5284     3304
                                                             306,999     8,246       X      X 28-5284     8246
   COLUMN TOTAL                                            9,180,434







                                                                                                                    FILE NO. 28-1235
PAGE 193 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SANDISK CORP                 COM            80004C101      3,607,318   159,828       X        28-5284   141907             17921
                                                             214,009     9,482       X      X 28-5284     9445                37
                                                               1,873        83       X        28-11135      83
SANDY SPRING BANCORP INC     COM            800363103         47,224     1,716       X        28-5284     1716
                                                             147,232     5,350       X      X 28-5284     5350
SANGAMO BIOSCIENCES INC      COM            800677106          1,016       100       X        28-5284      100
                                                              54,661     5,380       X      X 28-5284     5380
SANMINA SCI CORP             COM            800907107         28,593    17,650       X        28-5284     1750             15900
                                                               7,112     4,390       X        28-4580     4390
SANOFI AVENTIS               SPONSORED ADR  80105N105        962,901    25,650       X        28-5284     8950             16700
                                                             524,096    13,961       X      X 28-5284     4126              9835
                                                             452,732    12,060       X        28-11135   12060
                                                               9,685       258       X        28-4580      258
SAP AKTIENGESELLSCHAFT       SPONSORED ADR  803054204        462,092     9,322       X        28-5284     9322
                                                             716,534    14,455       X      X 28-5284     2613      1600   10242
                                                              84,814     1,711       X        28-11135    1711
SARA LEE CORP                COM            803111103      4,772,898   341,409       X        28-5284   324897             16512
                                                           3,986,187   285,135       X      X 28-5284   275805              9330
                                                              36,837     2,635       X        28-4580     2635
                                                               7,703       551       X      X 28-4580      551
SASOL LTD                    SPONSORED ADR  803866300        105,781     2,186       X        28-5284     2186
                                                              51,729     1,069       X      X 28-5284     1069
                                                              12,920       267       X        28-11135     267
                                                               3,629        75       X        28-4580       75
SATCON TECHNOLOGY CORP       COM            803893106            531       300       X      X 28-4580      300
SATYAM COMPUTER SERVICES LTD ADR            804098101        792,005    35,060       X        28-5284    35060
                                                           1,844,812    81,665       X      X 28-5284    80965               700
SAUL CTRS INC                COM            804395101        150,720     3,000       X        28-5284     3000
                                                             557,664    11,100       X      X 28-5284    11100
SCANA CORP NEW               COM            80589M102        195,776     5,352       X        28-5284     5352
                                                             293,518     8,024       X      X 28-5284     8024
                                                              41,957     1,147       X        28-11135    1147
   COLUMN TOTAL                                           20,176,559







                                                                                                                    FILE NO. 28-1235
PAGE 194 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SCHEIN HENRY INC             COM            806407102        352,666     6,144       X        28-5284     6144
                                                              91,209     1,589       X        28-11135    1589
                                                              39,032       680       X      X 28-4580      680
SCHERING PLOUGH CORP         COM            806605101      8,143,783   565,148       X        28-5284   539028             26120
                                                           9,234,418   640,834       X      X 28-5284   600533             40301
                                                             644,141    44,701       X        28-11135   44701
                                                              41,789     2,900       X        28-4580     2900
                                                             105,193     7,300       X      X 28-4580     7300
SCHERING PLOUGH CORP         PFD CONV MAN07 806605705         45,954       300       X      X 28-5284      300
SCHLUMBERGER LTD             COM            806857108    110,008,107 1,264,461       X        28-5284  1175928             88533
                                                          96,408,441 1,108,143       X      X 28-5284   961363      4113  142667
                                                             976,749    11,227       X        28-11135   11227
                                                           2,544,402    29,246       X        28-4580    28686               560
                                                             702,525     8,075       X      X 28-4580     7793       282
SCHOLASTIC CORP              COM            807066105         16,285       538       X        28-5284                        538
                                                               3,027       100       X        28-4580      100
SCHOOL SPECIALTY INC         COM            807863105          5,520       175       X        28-5284       35               140
                                                                 599        19       X        28-11135      19
SCHWAB CHARLES CORP NEW      COM            808513105        717,743    38,117       X        28-5284    38117
                                                             473,706    25,157       X      X 28-5284    14657             10500
SCHWEITZER-MAUDUIT INTL INC  COM            808541106         28,925     1,250       X        28-5284     1250
SCIENTIFIC GAMES CORP        CL A           80874P109         12,666       600       X        28-5284      600
                                                               3,167       150       X      X 28-5284                        150
SCOTTS MIRACLE GRO CO        CL A           810186106         66,461     2,050       X        28-5284     2050
                                                              68,082     2,100       X      X 28-5284     2100
SCRIPPS E W CO OHIO          CL A           811054204      3,680,370    87,607       X        28-5284    66925             20682
                                                           1,876,461    44,667       X      X 28-5284    37953              6714
SEACOAST BKG CORP FLA        COM            811707306          9,505       868       X        28-5284      868
                                                             115,851    10,580       X      X 28-5284     2000              8580
SEACOR HOLDINGS INC          COM            811904101        105,932     1,241       X        28-5284                       1241
   COLUMN TOTAL                                          236,522,709







                                                                                                                    FILE NO. 28-1235
PAGE 195 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SEABRIDGE GOLD INC           COM            811916105         48,000     2,000       X        28-5284     2000
SEALED AIR CORP NEW          COM            81211K100         47,748     1,891       X        28-5284     1891
                                                             411,777    16,308       X      X 28-5284    14918              1390
                                                               8,989       356       X        28-4580      356
SEARS HLDGS CORP             COM            812350106        447,665     4,385       X        28-5284     4014               371
                                                             301,676     2,955       X      X 28-5284     2816               139
                                                               1,123        11       X        28-11135      11
                                                              27,973       274       X      X 28-4580      274
SELECT SECTOR SPDR TR        SBI MATERIALS  81369Y100        152,646     3,800       X        28-5284     3800
                                                              13,136       327       X      X 28-5284      327
SELECT SECTOR SPDR TR        SBI HEALTHCARE 81369Y209        130,259     4,179       X        28-5284     4179
                                                             684,493    21,960       X      X 28-5284    21960
                                                               3,117       100       X        28-11439     100
                                                              10,910       350       X      X 28-4580      350
SELECT SECTOR SPDR TR        SBI CONS STPLS 81369Y308         55,386     1,988       X        28-5284     1988
                                                               3,065       110       X      X 28-5284      110
                                                             179,920     6,458       X      X 28-4580     6458
SELECT SECTOR SPDR TR        SBI CONS DISCR 81369Y407        425,933    13,865       X        28-5284    13865
                                                             406,241    13,224       X      X 28-5284    13224
SELECT SECTOR SPDR TR        SBI INT-ENERGY 81369Y506     15,462,765   208,787       X        28-5284   208612               175
                                                           4,179,946    56,440       X      X 28-5284    47118              9322
                                                             235,585     3,181       X        28-4580     3181
                                                              29,624       400       X      X 28-4580      400
SELECT SECTOR SPDR TR        SBI INT-FINL   81369Y605      4,408,058   177,244       X        28-5284   166899             10345
                                                           1,548,555    62,266       X      X 28-5284    30761             31505
                                                             281,901    11,335       X        28-4580    11335
                                                              12,112       487       X      X 28-4580      487
SELECT SECTOR SPDR TR        SBI INT-INDS   81369Y704        165,308     4,420       X        28-5284     4420
                                                             369,138     9,870       X      X 28-5284     9870
                                                              24,310       650       X      X 28-4580      650
   COLUMN TOTAL                                           30,077,359







                                                                                                                    FILE NO. 28-1235
PAGE 196 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SELECT SECTOR SPDR TR        SBI INT-TECH   81369Y803      9,084,454   405,556       X        28-5284   405556
                                                           7,801,382   348,276       X      X 28-5284   346288              1988
                                                             252,896    11,290       X        28-4580    11290
                                                             262,998    11,741       X      X 28-4580    11741
SELECT SECTOR SPDR TR        SBI INT-UTILS  81369Y886      3,736,407    98,482       X        28-5284    69882             28600
                                                           3,199,139    84,321       X      X 28-5284    73821             10500
                                                              56,910     1,500       X      X 28-4580     1500
SECURE COMPUTING CORP        COM            813705100         70,950    11,000       X        28-5284    11000
SELECTICA INC                COM            816288104      2,660,473 1,956,230       X      X 28-5284            1956230
SELECTIVE INS GROUP INC      COM            816300107        415,273    17,390       X        28-5284    17000               390
                                                             284,172    11,900       X      X 28-5284    11900
SEMTECH CORP                 COM            816850101         15,620     1,090       X        28-5284     1090
                                                              77,382     5,400       X      X 28-5284     5400
                                                              71,836     5,013       X        28-11135    5013
SEMPRA ENERGY                COM            816851109        197,775     3,712       X        28-5284     3462               250
                                                           1,894,264    35,553       X      X 28-5284    34239              1314
                                                              85,301     1,601       X        28-11135    1601
                                                              79,920     1,500       X        28-4580                       1500
                                                              14,279       268       X      X 28-4580      268
SEMITOOL INC                 COM            816909105          2,496       300       X      X 28-5284      300
SENIOR HSG PPTYS TR          SH BEN INT     81721M109         33,417     1,410       X        28-5284     1410
                                                             495,804    20,920       X      X 28-5284    20620               300
SENSIENT TECHNOLOGIES CORP   COM            81725T100         14,745       500       X      X 28-5284                        500
SEPRACOR INC                 COM            817315104         48,410     2,480       X        28-5284     2480
SERVICE CORP INTL            COM            817565104          9,004       888       X      X 28-5284      888
                                                               8,609       849       X        28-11135     849
SHANDA INTERACTIVE ENTMT LTD SPONSORED ADR  81941Q203         11,204       385       X        28-5284                        385
                                                           1,536,480    52,800       X      X 28-5284    52800
   COLUMN TOTAL                                           32,421,600







                                                                                                                    FILE NO. 28-1235
PAGE 197 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SHAW COMMUNICATIONS INC      CL B CONV      82028K200         13,599       748       X        28-11135     748
SHAW GROUP INC               COM            820280105        172,061     3,650       X        28-5284     3050               600
                                                              80,138     1,700       X      X 28-5284     1700
                                                                 707        15       X        28-11135      15
SHERWIN WILLIAMS CO          COM            824348106      7,772,014   152,273       X        28-5284   108023             44250
                                                           2,805,260    54,962       X      X 28-5284    53462              1500
                                                             459,717     9,007       X        28-11135    9007
                                                             112,288     2,200       X        28-4580     2200
                                                              51,040     1,000       X      X 28-4580     1000
SHINHAN FINANCIAL GROUP CO L SPN ADR RESTRD 824596100         51,729       490       X        28-5284      490
SHIRE PLC                    SPONSORED ADR  82481R106        493,819     8,520       X        28-5284     8520
                                                              36,225       625       X      X 28-5284      200               425
SHORE BANCSHARES INC         COM            825107105         31,017     1,446       X        28-5284     1446
                                                           2,788,328   129,992       X      X 28-5284   129992
SHORE FINL CORP              COM            82511E109         41,753     2,160       X        28-5284     2160
                                                             357,837    18,512       X      X 28-5284                      18512
SHUFFLE MASTER INC           COM            825549108            364        68       X        28-5284       68
SIEMENS A G                  SPONSORED ADR  826197501        467,570     4,292       X        28-5284     3292              1000
                                                             125,281     1,150       X      X 28-5284      750               400
                                                               7,190        66       X        28-11135      66
                                                              11,003       101       X        28-4580      101
SIERRA BANCORP               COM            82620P102          4,322       200       X      X 28-5284      200
SIERRA PAC RES NEW           COM            826428104         28,632     2,267       X        28-5284     2267
SIERRA WIRELESS INC          COM            826516106        866,085    54,300       X      X 28-5284    54300
SIGMA ALDRICH CORP           COM            826552101        941,396    15,782       X        28-5284    15782
                                                           2,517,707    42,208       X      X 28-5284    21908             20300
                                                              29,825       500       X      X 28-4580      500
SIGMA DESIGNS INC            COM            826565103          3,128       138       X        28-5284      138
SIGNET GROUP PLC             SP ADR REP 10  82668L872         72,969     5,918       X        28-11135    5918
   COLUMN TOTAL                                           20,343,004







                                                                                                                    FILE NO. 28-1235
PAGE 198 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SILICON LABORATORIES INC     COM            826919102         43,210     1,370       X        28-5284     1070               300
SILGAN HOLDINGS INC          COM            827048109        123,926     2,497       X        28-11135    2497
SILICON IMAGE INC            COM            82705T102            812       162       X        28-5284      162
SILICON STORAGE TECHNOLOGY I COM            827057100      4,585,443 1,750,169       X      X 28-5284            1750169
SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864            101        12       X      X 28-5284       12
SILVER STD RES INC           COM            82823L106         19,866       655       X      X 28-5284      655
SILVER WHEATON CORP          COM            828336107         44,261     2,850       X        28-5284     2850
SIMON PPTY GROUP INC NEW     COM            828806109      6,451,113    69,434       X        28-5284    59734              9700
                                                           2,273,786    24,473       X      X 28-5284    23675               798
                                                               1,579        17       X        28-11135      17
                                                              51,101       550       X        28-4580      550
                                                             162,593     1,750       X      X 28-4580     1750
SIMON PPTY GROUP INC NEW     PFD CONV I 6%  828806802     22,272,462   299,160       X        28-11439  299160
SIMPSON MANUFACTURING CO INC COM            829073105         14,270       525       X        28-5284      245               280
                                                             108,720     4,000       X      X 28-5284     4000
                                                               1,794        66       X        28-11135      66
SINCLAIR BROADCAST GROUP INC CL A           829226109          3,564       400       X      X 28-5284      300               100
                                                              69,756     7,829       X        28-11135    7829
SINOPEC SHANGHAI PETROCHEMIC SPON ADR H     82935M109         34,990     1,000       X      X 28-5284     1000
SIRIUS SATELLITE RADIO INC   NOTE 3.250%10  82966UAD5      5,985,937     6,500       X        28-11439    6500
SIRIUS SATELLITE RADIO INC   COM            82966U103        403,503   141,085       X        28-5284   141085
                                                              79,122    27,665       X      X 28-5284    26665              1000
                                                                  51        18       X      X 28-4580       18
SIRF TECHNOLOGY HLDGS INC    COM            82967H101          3,054       600       X      X 28-5284      600
SIRTRIS PHARMACEUTICALS INC  COM            82968A105          6,495       500       X        28-5284      500
                                                               6,495       500       X      X 28-5284      500
SIX FLAGS INC                COM            83001P109          4,920     3,000       X        28-5284     3000
   COLUMN TOTAL                                           42,752,924







                                                                                                                    FILE NO. 28-1235
PAGE 199 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SKYLINE CORP                 COM            830830105          4,451       160       X        28-5284      100                60
SKYWEST INC                  COM            830879102          9,926       470       X        28-5284                        470
SKYWORKS SOLUTIONS INC       COM            83088M102          2,548       350       X      X 28-5284      280                70
SKILLSOFT PLC                SPONSORED ADR  830928107          2,492       238       X        28-5284      238
SMART BALANCE INC            COM            83169Y108         21,330     2,700       X      X 28-5284     2500               200
SMITH & NEPHEW PLC           SPDN ADR NEW   83175M205         40,122       608       X        28-5284      608
                                                                 990        15       X      X 28-5284       15
                                                               6,137        93       X        28-11135      93
SMITH & WESSON HLDG CORP     COM            831756101          1,004       200       X        28-5284      200
SMITH A O                    COM            831865209          5,917       180       X        28-5284                        180
                                                              19,722       600       X      X 28-5284                        600
SMITH INTL INC               COM            832110100     15,153,399   235,924       X        28-5284   230224              5700
                                                           9,063,624   141,112       X      X 28-5284   131837      3550    5725
                                                                 835        13       X        28-11135      13
                                                             170,852     2,660       X        28-4580     2660
                                                              98,722     1,537       X      X 28-4580     1537
SMITHFIELD FOODS INC         COM            832248108         25,502       990       X        28-5284      990
                                                                  52         2       X      X 28-5284        2
                                                              14,142       549       X        28-4580      549
SMUCKER J M CO               COM NEW        832696405      3,028,705    59,844       X        28-5284    55421              4423
                                                           2,289,343    45,235       X      X 28-5284    40195        12    5028
                                                                 810        16       X        28-11135      16
                                                               2,277        45       X      X 28-4580       45
SMURFIT-STONE CONTAINER CORP COM            832727101            685        89       X        28-5284       89
SNAP ON INC                  COM            833034101         69,105     1,359       X        28-5284      804               555
                                                              32,188       633       X      X 28-5284      633
                                                               2,543        50       X        28-11135      50
SOLARFUN POWER HOLDINGS CO L SPONSORED ADR  83415U108          1,206       100       X        28-5284      100
   COLUMN TOTAL                                           30,068,629







                                                                                                                    FILE NO. 28-1235
PAGE 200 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SOLITARIO RES CORP           COM            83422R106         74,596    14,373       X      X 28-5284              14373
SONIC AUTOMOTIVE INC         CL A           83545G102         10,275       500       X      X 28-5284      500
SONIC INNOVATIONS INC        COM            83545M109          5,796     1,200       X        28-5284     1200
SONIC CORP                   COM            835451105         17,015       772       X        28-5284      307               465
                                                              16,045       728       X      X 28-5284      728
                                                             259,036    11,753       X        28-11135   11753
SONOCO PRODS CO              COM            835495102      4,058,045   141,741       X        28-5284   125196             16545
                                                             570,395    19,923       X      X 28-5284    19293               630
SONOSITE INC                 COM            83568G104          1,308        46       X      X 28-5284       46
SONY CORP                    ADR NEW        835699307        455,997    11,380       X        28-5284    10470               910
                                                             579,653    14,466       X      X 28-5284    12816              1650
                                                              78,016     1,947       X        28-11135    1947
                                                               8,014       200       X        28-4580      200
SOTHEBYS                     COM            835898107          5,059       175       X        28-5284      175
                                                               6,505       225       X      X 28-5284      225
                                                             350,765    12,133       X        28-11135   12133
SONUS NETWORKS INC           COM            835916107        103,200    30,000       X      X 28-5284    30000
SOURCE CAP INC               COM            836144105        278,970     5,232       X        28-5284     5232
                                                              86,485     1,622       X      X 28-5284                       1622
SOUTH FINL GROUP INC         COM            837841105      1,709,524   115,042       X        28-5284                     115042
                                                                 654        44       X        28-11135      44
SOUTH JERSEY INDS INC        COM            838518108      1,666,882    47,476       X        28-5284    47476
                                                           1,053,300    30,000       X      X 28-5284                      30000
SOUTHCOAST FINANCIAL CORP    COM            84129R100        161,150    11,000       X      X 28-5284    11000
SOUTHERN CO                  COM            842587107      7,902,286   221,912       X        28-5284   199354             22558
                                                          11,822,200   331,991       X      X 28-5284   270547       850   60594
                                                               4,024       113       X        28-11135     113
                                                             240,368     6,750       X        28-4580     6750
                                                             166,406     4,673       X      X 28-4580     1173              3500
   COLUMN TOTAL                                           31,691,969







                                                                                                                    FILE NO. 28-1235
PAGE 201 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SOUTHERN COPPER CORP         COM            84265V105        505,133     4,865       X        28-5284     1365              3500
                                                             726,810     7,000       X      X 28-5284     7000
SOUTHERN NATL BANCORP OF VA  COM            843395104        104,423    12,285       X        28-5284    12285
SOUTHERN UN CO NEW           COM            844030106        453,090    19,471       X        28-5284    18576               895
                                                              90,404     3,885       X      X 28-5284     2783              1102
                                                               5,818       250       X      X 28-4580      250
SOUTHWEST AIRLS CO           COM            844741108        119,387     9,628       X        28-5284     8763               865
                                                             575,757    46,432       X      X 28-5284    41982              4450
                                                             248,000    20,000       X        28-11439   20000
                                                              49,600     4,000       X        28-4580     4000
                                                              23,746     1,915       X      X 28-4580     1915
SOUTHWEST BANCORP INC OKLA   COM            844767103         87,007     4,969       X        28-11135    4969
SOUTHWEST GAS CORP           COM            844895102        100,572     3,597       X        28-5284     3277               320
                                                             111,840     4,000       X      X 28-5284                       4000
SOUTHWEST WTR CO             COM            845331107         76,560     6,916       X      X 28-5284     6706               210
SOUTHWESTERN ENERGY CO       COM            845467109         13,476       400       X        28-5284      400
                                                           1,359,055    40,340       X      X 28-5284    40340
                                                             808,560    24,000       X      X 28-4580    24000
SOVEREIGN BANCORP INC        COM            845905108        730,846    78,417       X        28-5284    78417
                                                              59,145     6,346       X      X 28-5284     6346
SOVRAN SELF STORAGE INC      COM            84610H108        260,958     6,110       X        28-5284     6110
                                                              11,532       270       X      X 28-5284      270
SPACEHAB INC                 NOTE 5.500%10  846243AD5     10,000,000   250,000       X      X 28-5284             250000
SPANSION INC                 COM CL A       84649R101          6,864     2,496       X        28-5284                       2496
SPARTAN STORES INC           COM            846822104         48,372     2,320       X        28-11135    2320
SPECTRA ENERGY CORP          COM            847560109      2,608,492   114,659       X        28-5284   113049              1610
                                                           3,287,648   144,512       X      X 28-5284   118762             25750
                                                               3,026       133       X        28-11135     133
                                                              18,814       827       X        28-4580      827
                                                              58,377     2,566       X      X 28-4580     2566
   COLUMN TOTAL                                           22,553,312







                                                                                                                    FILE NO. 28-1235
PAGE 202 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SPECTRUM CTL INC             COM            847615101          8,460     1,000       X        28-5284     1000
SPHERIX INC                  COM            84842R106        152,346   122,860       X        28-5284   122860
SPHERION CORP                COM            848420105          2,142       350       X        28-5284                        350
SPIRIT AEROSYSTEMS HLDGS INC COM CL A       848574109        346,563    15,625       X      X 28-5284    15625
SPRINT NEXTEL CORP           COM SER 1      852061100      2,086,999   311,958       X        28-5284   266836             45122
                                                           1,456,286   217,681       X      X 28-5284   189563      3078   25040
                                                               4,904       733       X        28-11135     733
                                                               2,087       312       X        28-4580      312
                                                              10,196     1,524       X      X 28-4580     1524
STAMPS COM INC               COM NEW        852857200         46,170     4,500       X        28-5284     4500
                                                           3,906,834   380,783       X      X 28-5284             380783
STANCORP FINL GROUP INC      COM            852891100        106,823     2,239       X        28-5284                       2239
                                                               5,821       122       X        28-11135     122
STANDARD MICROSYSTEMS CORP   COM            853626109          5,544       190       X        28-5284                        190
                                                              31,456     1,078       X      X 28-5284     1078
                                                                 846        29       X        28-11135      29
STANDARD MTR PRODS INC       COM            853666105            490        80       X        28-5284                         80
STANDARD PAC CORP NEW        COM            85375C101          3,062       630       X        28-5284      200               430
                                                                  34         7       X        28-11135       7
STANDARD REGISTER CO         COM            853887107            623        80       X        28-5284                         80
                                                               1,675       215       X        28-11135     215
STANDEX INTL CORP            COM            854231107          2,011        90       X        28-5284                         90
STANLEY FURNITURE INC        COM NEW        854305208            112         9       X        28-11135       9
STANLEY WKS                  COM            854616109        247,767     5,203       X        28-5284     5203
                                                             652,394    13,700       X      X 28-5284    13550               150
                                                              81,287     1,707       X        28-11135    1707
STANTEC INC                  COM            85472N109         47,619     1,628       X        28-11135    1628
   COLUMN TOTAL                                            9,210,551







                                                                                                                    FILE NO. 28-1235
PAGE 203 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
STAPLES INC                  COM            855030102      9,138,970   413,341       X        28-5284   333892             79449
                                                           3,442,660   155,706       X      X 28-5284   154006       450    1250
                                                             909,650    41,142       X        28-11135   41142
STARBUCKS CORP               COM            855244109      5,643,435   322,482       X        28-5284   270883             51599
                                                           1,419,828    81,133       X      X 28-5284    51788             29345
                                                               3,273       187       X        28-11135     187
                                                              14,910       852       X      X 28-4580                        852
STARTEK INC                  COM            85569C107            645        70       X        28-5284                         70
STATE AUTO FINL CORP         COM            855707105          1,457        50       X        28-5284       50
STARWOOD HOTELS&RESORTS WRLD COM            85590A401        464,146     8,969       X        28-5284     8546               423
                                                             107,433     2,076       X      X 28-5284     1498               578
                                                              40,727       787       X        28-11135     787
STATE STR CORP               COM            857477103     31,037,283   392,877       X        28-5284   357846       552   34479
                                                          16,412,882   207,758       X      X 28-5284   160207      3260   44291
                                                             339,305     4,295       X        28-11135    4295
                                                             367,429     4,651       X        28-4580     4514               137
                                                             526,772     6,668       X      X 28-4580     6668
STATOILHYDRO ASA             SPONSORED ADR  85771P102        187,584     6,280       X        28-5284     6280
                                                             158,341     5,301       X      X 28-5284     5301
                                                             327,853    10,976       X        28-11135   10976
                                                              10,664       357       X      X 28-4580      357
STEAK N SHAKE CO             COM            857873103          1,417       180       X        28-5284                        180
                                                              30,630     3,892       X        28-11135    3892
STEEL DYNAMICS INC           COM            858119100         39,218     1,187       X        28-5284     1187
                                                             348,506    10,548       X      X 28-5284    10548
                                                             416,073    12,593       X        28-11135   12593
STEIN MART INC               COM            858375108            899       160       X        28-5284                        160
STELLARONE CORP              COM            85856G100        103,692     6,132       X        28-5284     3423              2709
                                                              23,251     1,375       X      X 28-5284                       1375
STERLING BANCSHARES INC      COM            858907108          4,075       410       X        28-5284                        410
   COLUMN TOTAL                                           71,523,008







                                                                                                                    FILE NO. 28-1235
PAGE 204 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
STERICYCLE INC               COM            858912108        347,368     6,745       X        28-5284     6745
                                                              66,796     1,297       X        28-11135    1297
STERIS CORP                  COM            859152100         32,196     1,200       X      X 28-5284     1200
                                                              49,099     1,830       X        28-11135    1830
STERLING CONSTRUCTION CO INC COM            859241101         50,141     2,752       X        28-11135    2752
STERLING FINL CORP           COM            859317109         30,538     1,750       X        28-5284     1750
                                                               8,725       500       X      X 28-5284                        500
STERLING FINL CORP WASH      COM            859319105            859        55       X        28-5284       55
STEWART INFORMATION SVCS COR COM            860372101          4,199       150       X        28-5284                        150
STILLWATER MNG CO            COM            86074Q102         54,145     3,500       X        28-5284     3500
STMICROELECTRONICS N V       NY REGISTRY    861012102         59,781     5,608       X        28-5284     5608
STONE ENERGY CORP            COM            861642106         60,523     1,157       X        28-5284                       1157
STONEMOR PARTNERS L P        COM UNITS      86183Q100         18,280     1,000       X      X 28-5284     1000
STRATASYS INC                COM            862685104         35,600     2,000       X        28-5284     2000
                                                             124,600     7,000       X      X 28-5284     7000
STRATEGIC DIAGNOSTICS INC    COM            862700101          1,268       340       X      X 28-5284      340
STRATEGIC HOTELS & RESORTS I COM            86272T106         91,976     7,005       X        28-5284     7005
                                                               5,383       410       X      X 28-5284      410
STRATTEC SEC CORP            COM            863111100        179,394     4,240       X      X 28-5284     4240
STRATUS PPTYS INC            COM NEW        863167201          8,841       300       X        28-5284      300
STRAYER ED INC               COM            863236105            763         5       X        28-11135       5
STREETTRACKS GOLD TR         GOLD SHS       863307104      2,155,465    23,841       X        28-5284    23841
                                                           1,822,937    20,163       X      X 28-5284    19963               200
                                                             560,542     6,200       X        28-4580     6200
                                                             553,761     6,125       X      X 28-4580     6125
   COLUMN TOTAL                                            6,323,180







                                                                                                                    FILE NO. 28-1235
PAGE 205 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
STRYKER CORP                 COM            863667101     23,808,951   366,010       X        28-5284   361592              4418
                                                          26,981,829   414,786       X      X 28-5284   395493      1505   17788
                                                             303,328     4,663       X        28-4580     4663
                                                             273,470     4,204       X      X 28-4580     3880               324
STUDENT LN CORP              COM            863902102          5,341        54       X        28-5284       54
STURM RUGER & CO INC         COM            864159108          4,532       550       X        28-5284      400               150
SUBURBAN PROPANE PARTNERS L  UNIT LTD PARTN 864482104         15,532       400       X        28-5284      400
                                                              81,543     2,100       X      X 28-5284     2100
SUN COMMUNITIES INC          COM            866674104        114,800     5,600       X      X 28-5284      500      5100
SUN LIFE FINL INC            COM            866796105        718,852    15,426       X        28-5284    15426
                                                             198,656     4,263       X      X 28-5284     4263
SUN MICROSYSTEMS INC         COM NEW        866810203        633,810    40,812       X        28-5284    28262             12550
                                                             342,281    22,040       X      X 28-5284     9522      4000    8518
                                                             319,142    20,550       X        28-11439   20550
SUN HEALTHCARE GROUP INC     COM NEW        866933401      1,060,398    80,700       X      X 28-5284    80700
SUN HYDRAULICS CORP          COM            866942105        127,822     4,367       X        28-11135    4367
SUNAMERICA FCSED ALPHA GRW F COM            867037103          2,543       165       X        28-5284      165
SUNCOR ENERGY INC            COM            867229106      1,720,329    17,855       X        28-5284    15121       440    2294
                                                             779,857     8,094       X      X 28-5284     8094
                                                             154,545     1,604       X        28-11135    1604
                                                             120,727     1,253       X        28-11439    1253
                                                               1,349        14       X      X 28-4580       14
SUNOCO LOGISTICS PRTNRS L P  COM UNITS      86764L108        103,700     2,125       X        28-5284     2125
                                                             639,280    13,100       X      X 28-5284    10000      2500     600
SUNOCO INC                   COM            86764P109        779,494    14,856       X        28-5284    13971               885
                                                           1,880,105    35,832       X      X 28-5284    34712              1120
                                                               1,049        20       X        28-11135      20
                                                                 420         8       X      X 28-4580        8
SUNPOWER CORP                COM CL A       867652109         18,702       251       X        28-5284      251
                                                             779,971    10,468       X      X 28-5284    10468
   COLUMN TOTAL                                           61,972,358







                                                                                                                    FILE NO. 28-1235
PAGE 206 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SUNRISE SENIOR LIVING INC    COM            86768K106         10,137       455       X        28-5284      125               330
SUNSTONE HOTEL INVS INC NEW  COM            867892101        118,794     7,420       X        28-5284     7420
                                                               5,924       370       X      X 28-5284      370
SUNTRUST BKS INC             COM            867914103      4,210,766    76,365       X        28-5284    63996             12369
                                                          10,290,006   186,616       X      X 28-5284   177441       200    8975
                                                              84,805     1,538       X        28-11135    1538
                                                             110,280     2,000       X        28-4580     2000
SUNTECH PWR HLDGS CO LTD     ADR            86800C104         69,966     1,725       X        28-5284     1725
                                                             150,478     3,710       X      X 28-5284     3710
SUPERIOR BANCORP             COM            86806M106          4,970     1,000       X        28-5284     1000
SUPERIOR ENERGY SVCS INC     COM            868157108          4,715       119       X        28-5284      119
                                                             120,881     3,051       X      X 28-5284     3051
                                                             542,754    13,699       X        28-11135   13699
SUPERIOR INDS INTL INC       COM            868168105          4,171       201       X        28-5284      201
SUPERTEX INC                 COM            868532102          2,449       120       X        28-5284                        120
SUPERVALU INC                COM            868536103        653,894    21,811       X        28-5284    13536              8275
                                                             182,818     6,098       X      X 28-5284     4542              1556
                                                               8,574       286       X        28-11135     286
                                                              11,243       375       X        28-4580      375
SURMODICS INC                COM            868873100         88,786     2,120       X        28-5284     2000               120
                                                             391,159     9,340       X      X 28-5284     4650              4690
SUSQUEHANNA BANCSHARES INC P COM            869099101        102,481     5,031       X        28-5284     3957              1074
                                                             284,549    13,969       X      X 28-5284     7809              6160
                                                              39,314     1,930       X      X 28-4580     1930
SUSSEX BANCORP               COM            869245100        105,700    10,000       X      X 28-5284    10000
SWIFT ENERGY CO              COM            870738101         74,368     1,653       X        28-5284       45              1608
                                                              13,497       300       X      X 28-5284                        300
SWISS HELVETIA FD INC        COM            870875101        204,904    12,625       X        28-5284    12625
                                                             143,619     8,849       X      X 28-5284     8849
   COLUMN TOTAL                                           18,036,002







                                                                                                                    FILE NO. 28-1235
PAGE 207 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
SYBASE INC                   COM            871130100          4,550       173       X        28-5284      173
SYKES ENTERPRISES INC        COM            871237103          4,415       251       X        28-5284      251
SYMANTEC CORP                COM            871503108      8,592,374   516,990       X        28-5284   433367             83623
                                                           3,585,133   215,712       X      X 28-5284   184858             30854
                                                             436,508    26,264       X        28-11439   26264
SYMMETRICOM INC              COM            871543104            942       270       X        28-5284                        270
SYNCHRONOSS TECHNOLOGIES INC COM            87157B103        366,549    18,300       X      X 28-5284    18300
SYNAPTICS INC                COM            87157D109          2,913       122       X        28-5284      122
SYNERGY BRANDS INC           COM PAR $.001  87159E402        343,264   470,224       X      X 28-5284             470224
SYNGENTA AG                  SPONSORED ADR  87160A100         22,585       386       X        28-5284      386
                                                             149,610     2,557       X      X 28-5284     1100              1457
SYNOVUS FINL CORP            COM            87161C105     18,682,264 1,689,174       X        28-5284  1619943             69231
                                                           3,593,726   324,930       X      X 28-5284   308530      5800   10600
                                                               2,101       190       X        28-11135     190
SYNTAX BRILLIAN CORP         COM            87163L103         35,525    36,250       X      X 28-5284    35000      1250
SYSCO CORP                   COM            871829107     23,806,064   820,333       X        28-5284   788603             31730
                                                           9,097,190   313,480       X      X 28-5284   257587      3500   52393
                                                             175,745     6,056       X        28-11135    6056
                                                              39,148     1,349       X        28-4580     1349
                                                             112,801     3,887       X      X 28-4580     3887
SYSTEMAX INC                 COM            871851101        120,600    10,000       X        28-5284    10000
TCF FINL CORP                COM            872275102        167,086     9,324       X        28-5284     7200              2124
                                                             585,464    32,671       X      X 28-5284     4302             28369
TC PIPELINES LP              UT COM LTD PRT 87233Q108        137,840     4,000       X        28-5284     4000
TCW STRATEGIC INCOME FUND IN COM            872340104          5,004     1,371       X      X 28-5284     1371
TDK CORP                     AMERN DEP SH   872351408          2,826        48       X        28-5284       48
                                                              27,375       465       X        28-11135     465
   COLUMN TOTAL                                           70,099,602







                                                                                                                    FILE NO. 28-1235
PAGE 208 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TD AMERITRADE HLDG CORP      COM            87236Y108          2,295       139       X        28-5284      139
                                                              20,307     1,230       X      X 28-5284     1230
                                                             176,872    10,713       X        28-11439   10713
TECO ENERGY INC              COM            872375100        220,014    13,794       X        28-5284    13794
                                                             805,858    50,524       X      X 28-5284    48524              2000
TEPPCO PARTNERS L P          UT LTD PARTNER 872384102        478,376    13,870       X        28-5284    13870
                                                             300,063     8,700       X      X 28-5284     8700
TGC INDS INC                 COM NEW        872417308        646,926    76,650       X        28-5284    76650
THQ INC                      COM NEW        872443403         10,835       497       X        28-5284                        497
TIB FINL CORP                COM            872449103          8,000     1,000       X        28-5284     1000
TJX COS INC NEW              COM            872540109     37,279,811 1,127,300       X        28-5284  1102087             25213
                                                          10,335,731   312,541       X      X 28-5284   305191      3350    4000
                                                              34,161     1,033       X        28-11135    1033
                                                              71,101     2,150       X        28-4580     2150
                                                              82,675     2,500       X      X 28-4580     2500
TLC VISION CORP              COM            872549100         28,980    25,200       X      X 28-5284              25200
TVI CORP NEW                 COM            872916101          7,905    25,500       X        28-5284    25500
                                                               5,735    18,500       X      X 28-5284    18500
TNS INC                      COM            872960109        994,456    48,181       X        28-11135   48181
TTM TECHNOLOGIES  INC        COM            87305R109         92,133     8,139       X        28-11135    8139
T-3 ENERGY SRVCS INC         COM            87306E107      1,391,712    32,700       X      X 28-5284    32700
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR  874039100        284,684    27,720       X        28-5284    14053             13667
                                                              11,564     1,126       X      X 28-5284     1126
                                                               1,787       174       X        28-11135     174
                                                               2,568       250       X        28-4580      250
TAKE-TWO INTERACTIVE SOFTWAR COM            874054109         15,950       625       X        28-5284       75               550
TALBOTS INC                  COM            874161102          9,972       925       X        28-5284      925
                                                               3,234       300       X      X 28-5284      300
   COLUMN TOTAL                                           53,323,705







                                                                                                                    FILE NO. 28-1235
PAGE 209 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TALISMAN ENERGY INC          COM            87425E103        566,701    32,017       X        28-11135   32017
                                                              35,400     2,000       X        28-4580     2000
TANGER FACTORY OUTLET CTRS I COM            875465106        348,346     9,055       X        28-5284     9055
                                                              92,328     2,400       X      X 28-5284     2400
TANGER PPTYS LTD PARTNERSHIP NOTE 3.750% 8  875484AE7      6,716,419     5,850       X        28-11439    5850
TAPESTRY PHARMACEUTICALS INC COM NEW        876031204          1,463    28,681       X      X 28-5284              28681
TARGET CORP                  COM            87612E106    167,876,993 3,312,490       X        28-5284  2868475            444015
                                                          21,493,996   424,112       X      X 28-5284   334133     27100   62879
                                                               7,653       151       X        28-11135     151
                                                             126,700     2,500       X        28-4580     2500
                                                             268,604     5,300       X      X 28-4580     5300
TASER INTL INC               COM            87651B104         28,905     3,075       X        28-5284     2575               500
TASEKO MINES LTD             COM            876511106          5,100     1,000       X        28-5284     1000
                                                               2,550       500       X      X 28-5284      500
TASTY BAKING CO              COM            876553306          4,328       750       X      X 28-5284      750
TATA MTRS LTD                SPONSORED ADR  876568502         36,707     2,350       X        28-5284     2350
                                                               4,686       300       X      X 28-5284      300
                                                              50,421     3,228       X      X 28-4580     3228
TAUBMAN CTRS INC             COM            876664103        431,128     8,275       X        28-5284     8275
                                                              25,529       490       X      X 28-5284      490
TEAM INC                     COM            878155100          2,948       108       X        28-5284      108
                                                           1,274,364    46,680       X      X 28-5284    46680
TECH DATA CORP               COM            878237106         62,615     1,909       X        28-5284      400              1509
                                                               6,560       200       X      X 28-5284      200
                                                               1,640        50       X        28-11135      50
                                                               7,085       216       X        28-4580      216
TECHNE CORP                  COM            878377100        165,032     2,450       X        28-5284     2450
                                                           2,213,113    32,855       X      X 28-5284    18605             14250
   COLUMN TOTAL                                          201,857,314







                                                                                                                    FILE NO. 28-1235
PAGE 210 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TECHNITROL INC               COM            878555101          7,170       310       X        28-5284                        310
                                                              46,260     2,000       X      X 28-5284                       2000
                                                              54,032     2,336       X        28-11135    2336
TECHNOLOGY SOLUTIONS CO      COM NEW        87872T207        631,776   217,105       X      X 28-5284             217105
TECHNOLOGY RESH CORP         COM NEW        878727304          1,425       500       X        28-5284      500
TECK COMINCO LTD             CL B           878742204         42,598     1,040       X        28-5284     1040
                                                               4,096       100       X      X 28-5284                        100
TECUMSEH PRODS CO            CL A           878895200         67,496     2,200       X        28-5284     2200
TEGAL CORP                   COM NEW        879008209            388        78       X      X 28-5284       78
TEJON RANCH CO DEL           COM            879080109         93,300     2,500       X      X 28-5284               2500
TEKELEC                      COM            879101103            834        67       X        28-11135      67
TELE NORTE LESTE PART S A    SPON ADR PFD   879246106        278,697    10,501       X        28-11135   10501
TELECOM ITALIA S P A NEW     SPON ADR ORD   87927Y102          2,277       109       X      X 28-5284      109
TELECOM ITALIA S P A NEW     SPON ADR SVGS  87927Y201         11,432       692       X        28-5284      692
TELECOM ARGENTINA S A        SPON ADR REP B 879273209          3,664       173       X        28-4580      173
TELECOM CORP NEW ZEALAND LTD SPONSORED ADR  879278208          5,205       350       X        28-5284      350
                                                              54,528     3,667       X      X 28-5284     3667
                                                               3,063       206       X        28-4580      206
TELECOMMUNICATION SYS INC    CL A           87929J103         14,175     4,500       X      X 28-5284     4500
TELEDYNE TECHNOLOGIES INC    COM            879360105         45,449       967       X        28-5284      697               270
TELEFLEX INC                 COM            879369106      3,079,203    64,540       X        28-5284    64010               530
                                                             451,337     9,460       X      X 28-5284     9310               150
                                                               3,101        65       X        28-11135      65
TELEFONICA S A               SPONSORED ADR  879382208        623,305     7,205       X        28-5284     7205
                                                             507,381     5,865       X      X 28-5284     5865
                                                             102,514     1,185       X        28-11135    1185
                                                              11,073       128       X        28-4580      128
   COLUMN TOTAL                                            6,145,779







                                                                                                                    FILE NO. 28-1235
PAGE 211 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TELEFONOS DE MEXICO S A B      SPON ADR A SHS 879403707      125,334       3,336      X     28-5284       3336
TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780      457,968      12,180      X     28-5284      12180
                                                             297,040       7,900      X   X 28-5284       4800                3100
                                                               5,339         142      X     28-11135       142
TELEPHONE & DATA SYS INC       SPL COM        879433860        7,460         200      X     28-5284        200
                                                               1,790          48      X     28-11135        48
TELLABS INC                    COM            879664100       25,844       4,742      X     28-5284                           4742
                                                              24,525       4,500      X   X 28-5284       2500                2000
TELUS CORP                     NON-VTG SHS    87971M202       33,480         800      X     28-5284        800
                                                               9,835         235      X     28-4580        235
TEMPLE INLAND INC              COM            879868107       41,849       3,290      X     28-5284       1490                1800
                                                              17,299       1,360      X   X 28-5284       1360
TELETECH HOLDINGS INC          COM            879939106        1,348          60      X     28-5284         60
                                                               2,673         119      X   X 28-5284        119
TEMPLETON DRAGON FD INC        COM            88018T101       31,638       1,294      X     28-5284       1294
                                                             151,590       6,200      X   X 28-5284       6200
TEMPLETON EMERGING MKTS FD I   COM            880191101       19,710       1,000      X   X 28-5284       1000
TEMPLETON EMERG MKTS INCOME    COM            880192109       84,277       6,050      X     28-5284       6050
                                                              48,212       3,461      X   X 28-5284                           3461
TEMPLETON GLOBAL INCOME FD     COM            880198106      159,341      16,650      X     28-5284      16650
                                                             166,106      17,357      X   X 28-5284      17357
TEMPLETON RUS AND EAST EUR F   COM            88022F105      114,300       2,000      X     28-5284       2000
TEMPUR PEDIC INTL INC          COM            88023U101    1,170,675     106,425      X     28-5284      98840                7585
                                                              81,950       7,450      X   X 28-5284       7400                  50
TENARIS S A                    SPONSORED ADR  88031M109       42,622         855      X     28-5284        855
                                                              17,448         350      X   X 28-5284        350
                                                             168,692       3,384      X     28-11135      3384
TENET HEALTHCARE CORP          COM            88033G100       48,110       8,500      X     28-5284       8500
                                                              11,490       2,030      X     28-4580       2030
   COLUMN TOTAL                                            3,367,945







                                                                                                                    FILE NO. 28-1235
PAGE 212 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TENNECO INC                  COM            880349105          5,420       194       X        28-5284      193                 1
                                                               1,509        54       X      X 28-5284       54
TERADATA CORP DEL            COM            88076W103         32,252     1,462       X        28-5284     1188               274
                                                              93,512     4,239       X      X 28-5284     4043               196
TERADYNE INC                 COM            880770102        274,619    22,111       X        28-5284    20511              1600
                                                              69,030     5,558       X      X 28-5284     5058               500
TEREX CORP NEW               COM            880779103        168,750     2,700       X        28-5284      900              1800
                                                             637,250    10,196       X      X 28-5284    10196
                                                             569,000     9,104       X        28-11135    9104
                                                               2,875        46       X        28-4580       46
TERNIUM SA                   SPON ADR       880890108          7,248       202       X      X 28-5284      202
TERRA INDS INC               COM            880915103          1,777        50       X        28-5284       50
                                                              17,054       480       X      X 28-5284      480
TERRA NITROGEN CO L P        COM UNIT       881005201         11,155       100       X        28-5284      100
TERRESTAR CORP               COM            881451108         11,785     2,415       X      X 28-5284               2415
TESORO CORP                  COM            881609101             30         1       X        28-5284        1
                                                              71,190     2,373       X      X 28-5284     2173               200
                                                                 840        28       X      X 28-4580       28
TETRA TECHNOLOGIES INC DEL   COM            88162F105         14,795       934       X        28-5284      400               534
                                                                 855        54       X      X 28-4580       54
TETRA TECH INC NEW           COM            88162G103         22,827     1,170       X        28-5284      750               420
TEVA PHARMACEUTICAL INDS LTD ADR            881624209     15,368,753   332,729       X        28-5284   313434             19295
                                                          12,997,727   281,397       X      X 28-5284   273652       425    7320
                                                             218,987     4,741       X        28-11135    4741
                                                             226,285     4,899       X        28-4580     4899
                                                             103,004     2,230       X      X 28-4580     2230
TESSERA TECHNOLOGIES INC     COM            88164L100            790        38       X        28-5284       38
                                                                 146         7       X      X 28-5284        7
                                                              64,480     3,100       X        28-11439    3100
   COLUMN TOTAL                                           30,993,945







                                                                                                                    FILE NO. 28-1235
PAGE 213 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TEXAS INDS INC               COM            882491103         12,623       210       X        28-5284                        210
                                                             426,781     7,100       X      X 28-5284     7100
TEXAS INSTRS INC             COM            882508104     25,003,373   884,449       X        28-5284   806611      1090   76748
                                                          16,731,741   591,855       X      X 28-5284   540897       800   50158
                                                           1,038,894    36,749       X        28-11135   36749
                                                             115,850     4,098       X        28-4580     4098
                                                              97,390     3,445       X      X 28-4580     3445
TEXAS PAC LD TR              SUB CTF PROP I 882610108        232,031     5,625       X        28-5284     5625
                                                              20,625       500       X      X 28-5284      500
TEXAS ROADHOUSE INC          CL A           882681109        414,540    42,300       X        28-5284    42300
TEXTRON INC                  COM            883203101     18,744,208   338,221       X        28-5284   321813             16408
                                                           5,940,747   107,195       X      X 28-5284   100035      2570    4590
                                                             350,310     6,321       X        28-11135    6321
                                                             226,889     4,094       X        28-4580     4094
                                                              11,084       200       X      X 28-4580      200
THERAGENICS CORP             COM            883375107          1,182       300       X        28-5284                        300
THERMO FISHER SCIENTIFIC INC COM            883556102        724,937    12,754       X        28-5284    12754
                                                           1,430,720    25,171       X      X 28-5284    11941             13230
                                                           1,778,921    31,297       X        28-11135   31297
THOMAS & BETTS CORP          COM            884315102        373,229    10,262       X        28-5284    10262
                                                             184,796     5,081       X      X 28-5284     4219               862
                                                              38,043     1,046       X        28-11135    1046
THOMAS WEISEL PARTNERS GRP I COM            884481102            920       139       X        28-5284      139
THOMSON CORP                 COM            884903105         33,530     1,000       X      X 28-5284     1000
THOMSON                      SPONSORED ADR  885118109         36,565     5,246       X        28-5284     5246
                                                              22,304     3,200       X      X 28-5284     3200
THOR INDS INC                COM            885160101         21,434       720       X        28-5284      720
                                                              29,770     1,000       X      X 28-5284     1000
                                                               1,697        57       X        28-11135      57
THORATEC CORP                COM NEW        885175307          3,573       250       X        28-5284      250
   COLUMN TOTAL                                           74,048,707







                                                                                                                    FILE NO. 28-1235
PAGE 214 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
THORNBURG MTG INC            COM            885218107          2,420     2,000       X        28-5284     2000
                                                              12,403    10,250       X      X 28-5284    10250
                                                                  71        59       X        28-11135      59
THORNBURG MTG INC            PFD CONV SER F 885218701         17,000     4,000       X      X 28-5284               4000
3COM CORP                    COM            885535104          9,893     4,320       X        28-5284     4320
                                                               2,130       930       X      X 28-5284      300               630
                                                              58,283    25,451       X        28-11135   25451
                                                               5,004     2,185       X        28-4580     2185
3-D SYS CORP DEL             COM NEW        88554D205        620,124    42,214       X        28-11135   42214
3M CO                        COM            88579Y101    124,673,756 1,575,158       X        28-5284  1509521      1500   64137
                                                         123,377,041 1,558,775       X      X 28-5284  1414758      4025  139992
                                                              58,254       736       X        28-11135     736
                                                           4,493,504    56,772       X        28-4580    56772
                                                           3,917,529    49,495       X      X 28-4580    47159              2336
TIBCO SOFTWARE INC           COM            88632Q103         29,988     4,200       X        28-5284     4200
TIDEWATER INC                COM            886423102      7,078,604   128,445       X        28-5284   114465             13980
                                                             464,577     8,430       X      X 28-5284     8400                30
TIFFANY & CO NEW             COM            886547108      1,541,135    36,834       X        28-5284    21004             15830
                                                           1,757,615    42,008       X      X 28-5284    21621             20387
                                                              36,359       869       X        28-11135     869
TIM HORTONS INC              COM            88706M103         71,335     2,095       X        28-5284     2095
                                                             104,329     3,064       X      X 28-5284     2252               812
TIM PARTICIPACOES S A        SPONS ADR PFD  88706P106          4,424       137       X        28-5284      137
TIMBERLAND CO                CL A           887100105         18,536     1,350       X        28-5284     1350
TIME WARNER INC              COM            887317105      6,996,288   499,022       X        28-5284   401482             97540
                                                           4,135,423   294,966       X      X 28-5284   223418       200   71348
                                                             146,271    10,433       X        28-11135   10433
                                                              30,844     2,200       X        28-4580     2200
TIME WARNER CABLE INC        CL A           88732J108        910,021    36,430       X        28-5284    30880              5550
                                                              32,724     1,310       X      X 28-5284     1310
   COLUMN TOTAL                                          280,605,885







                                                                                                                    FILE NO. 28-1235
PAGE 215 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TIMKEN CO                    COM            887389104        273,573     9,205       X        28-5284     8085              1120
                                                              71,328     2,400       X      X 28-5284     1940               460
TITANIUM METALS CORP         COM NEW        888339207         72,240     4,800       X        28-5284     4800
                                                              43,645     2,900       X      X 28-5284     2900
TIVO INC                     COM            888706108         21,900     2,500       X        28-5284     2500
TOLL BROTHERS INC            COM            889478103        520,293    22,159       X        28-5284    17244              4915
                                                               9,979       425       X      X 28-5284      425
                                                              11,646       496       X        28-4580      496
TOLLGRADE COMMUNICATIONS INC COM            889542106         34,479     6,580       X        28-5284     6500                80
                                                              20,960     4,000       X      X 28-5284     4000
TOMKINS PLC                  SPONSORED ADR  890030208         12,528       881       X        28-5284      881
                                                                 427        30       X      X 28-5284       30
                                                              31,839     2,239       X        28-11135    2239
                                                               1,450       102       X      X 28-4580      102
TOMPKINS FINANCIAL CORPORATI COM            890110109         13,087       266       X        28-5284                        266
TOOTSIE ROLL INDS INC        COM            890516107        645,851    25,629       X        28-5284    23974              1655
                                                              64,310     2,552       X      X 28-5284      802              1750
TORCHMARK CORP               COM            891027104      1,188,014    19,764       X        28-5284     8812             10952
                                                           2,392,138    39,796       X      X 28-5284    12196             27600
                                                              15,568       259       X        28-11135     259
TORO CO                      COM            891092108        137,001     3,310       X        28-5284     3000               310
                                                             475,985    11,500       X      X 28-5284    11500
                                                              59,105     1,428       X        28-11135    1428
TORONTO DOMINION BK ONT      COM NEW        891160509        313,805     5,115       X        28-5284     5115
                                                             266,075     4,337       X      X 28-5284     4337
TORTOISE ENERGY INFRSTRCTR C COM            89147L100         17,220       574       X        28-5284      574
                                                              30,000     1,000       X      X 28-5284     1000
                                                              45,000     1,500       X      X 28-4580     1500
TORTOISE CAP RES CORP        COM            89147N304         13,042     1,031       X      X 28-5284     1031
TORTOISE NORTH AMRN ENRGY CO COM            89147T103         22,650     1,000       X        28-5284     1000
   COLUMN TOTAL                                            6,825,138







                                                                                                                    FILE NO. 28-1235
PAGE 216 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TORTOISE ENERGY CAP CORP     COM            89147U100         25,270     1,000       X        28-5284     1000
TOTAL S A                    SPONSORED ADR  89151E109      7,474,640   100,995       X        28-5284    96708              4287
                                                           2,041,640    27,586       X      X 28-5284    19086              8500
                                                             697,322     9,422       X        28-11135    9422
                                                             118,786     1,605       X        28-4580     1605
                                                               2,072        28       X      X 28-4580       28
TOTAL SYS SVCS INC           COM            891906109     15,244,138   644,300       X        28-5284   615697             28603
                                                           3,995,961   168,891       X      X 28-5284   163860      2806    2225
                                                               2,153        91       X        28-11135      91
TRACK DATA CORP              COM NEW        891918203        119,428    57,500       X      X 28-5284              57500
TOWNEBANK PORTSMOUTH VA      COM            89214P109         14,690     1,000       X      X 28-5284                       1000
TOYOTA MOTOR CORP            SP ADR REP2COM 892331307      1,127,446    11,175       X        28-5284    10975               200
                                                             417,079     4,134       X      X 28-5284     3934               200
                                                             419,400     4,157       X        28-11135    4157
                                                               6,861        68       X        28-4580       68
TORREYPINES THERAPEUTICS INC COM            89235K105         56,469    40,625       X      X 28-5284              40625
TRACTOR SUPPLY CO            COM            892356106         35,568       900       X        28-5284      800               100
                                                             345,800     8,750       X      X 28-5284     4150              4600
TRADESTATION GROUP INC       COM            89267P105          3,595       422       X        28-5284      422
TRANE INC                    COM            892893108        335,162     7,302       X        28-5284     7302
                                                             349,024     7,604       X      X 28-5284     7604
TRANS WORLD ENTMT CORP       COM            89336Q100      4,041,947 1,074,986       X      X 28-5284            1074986
TRANSAMERICA INCOME SHS INC  COM            893506105        172,050     9,300       X      X 28-5284                       9300
TRANSATLANTIC HLDGS INC      COM            893521104        198,652     2,994       X        28-5284     2607               387
                                                               8,294       125       X      X 28-5284      125
                                                               5,242        79       X        28-4580       79
TRANSCANADA CORP             COM            89353D107        111,737     2,900       X        28-5284     2900
                                                             404,565    10,500       X      X 28-5284     2500              8000
TRANSDIGM GROUP INC          COM            893641100        173,320     4,678       X      X 28-5284     4678
   COLUMN TOTAL                                           37,948,311







                                                                                                                    FILE NO. 28-1235
PAGE 217 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TRANSMERIDIAN EXPL INC       COM            89376N108          4,450     5,000       X      X 28-5284     5000
TRANSMETA CORP DEL           COM            89376R208            646        50       X        28-5284       50
                                                           1,009,730    78,213       X      X 28-5284              78213
TRAVELERS COMPANIES INC      COM            89417E109      5,366,234   112,147       X        28-5284    84550             27597
                                                           8,039,757   168,020       X      X 28-5284   156467             11553
                                                               8,517       178       X        28-11135     178
                                                              15,551       325       X        28-4580      325
                                                              96,753     2,022       X      X 28-4580     2022
TRAVELCENTERS OF AMERICA LLC COM            894174101          1,330       218       X        28-5284      218
                                                             167,872    27,520       X      X 28-5284       20     27500
TREDEGAR CORP                COM            894650100          3,278       180       X        28-5284                        180
TRI CONTL CORP               COM            895436103         79,697     4,575       X        28-5284     4575
                                                             306,348    17,586       X      X 28-5284    17272               314
TRIAD GTY INC                COM            895925105            855       171       X        28-5284      171
                                                               1,295       259       X      X 28-5284      259
                                                                 150        30       X        28-11135      30
TRIMAS CORP                  COM NEW        896215209        579,700   110,000       X      X 28-5284   110000
TRIMBLE NAVIGATION LTD       COM            896239100        186,121     6,510       X        28-5284     5600               910
                                                             879,428    30,760       X      X 28-5284    11410             19350
                                                             364,465    12,748       X        28-11135   12748
TRIMERIS INC                 COM            896263100            241        37       X        28-11135      37
TRINITY INDS INC             COM            896522109         27,450     1,030       X        28-5284     1030
                                                              26,650     1,000       X      X 28-5284     1000
TRIQUINT SEMICONDUCTOR INC   COM            89674K103            506       100       X      X 28-5284      100
TRIUMPH GROUP INC NEW        COM            896818101         84,769     1,489       X        28-5284     1359               130
                                                              50,782       892       X        28-11135     892
TRONOX INC                   COM CL B       897051207            710       182       X        28-5284      182
                                                                 905       232       X      X 28-5284      232
TRUEBLUE INC                 COM            89785X101            296        22       X        28-11135      22
   COLUMN TOTAL                                           17,304,486







                                                                                                                    FILE NO. 28-1235
PAGE 218 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
TRUSTCO BK CORP N Y          COM            898349105         51,962     5,845       X        28-5284     5385               460
TRUSTMARK CORP               COM            898402102         11,140       500       X        28-5284      500
                                                               1,292        58       X        28-11135      58
TUMBLEWEED COMMUNICATIONS CO COM            899690101            453       371       X        28-11135     371
TUPPERWARE BRANDS CORP       COM            899896104        133,988     3,464       X        28-5284     3450                14
                                                             209,491     5,416       X      X 28-5284     4750               666
                                                              62,778     1,623       X        28-11135    1623
TURKCELL ILETISIM HIZMETLERI SPON ADR NEW   900111204         57,740     2,764       X        28-5284     2764
TURKISH INVT FD INC          COM            900145103         74,400     5,000       X        28-5284     5000
21ST CENTY HLDG CO           COM            90136Q100          1,076        84       X        28-5284       84
                                                             246,503    19,243       X      X 28-5284              19243
II VI INC                    COM            902104108        102,546     2,700       X        28-5284     2700
                                                           3,339,809    87,936       X      X 28-5284    87936
TYSON FOODS INC              CL A           902494103        106,690     6,689       X        28-5284      689              6000
                                                              46,781     2,933       X      X 28-5284     2933
                                                              30,257     1,897       X        28-4580     1897
UAL CORP                     COM NEW        902549807            581        27       X        28-5284       27
                                                               1,809        84       X      X 28-5284        7        77
UCBH HOLDINGS INC            COM            90262T308          5,587       720       X        28-5284                        720
                                                                 404        52       X        28-11135      52
UDR INC                      COM            902653104        495,059    20,190       X        28-5284    20190
                                                             286,516    11,685       X      X 28-5284    11685
UGI CORP NEW                 COM            902681105        140,449     5,636       X        28-5284     1886              3750
                                                             593,644    23,822       X      X 28-5284    23822
UIL HLDG CORP                COM            902748102          6,026       200       X        28-5284                        200
                                                              10,033       333       X      X 28-5284      333
UST INC                      COM            902911106        991,664    18,189       X        28-5284    18189
                                                             594,650    10,907       X      X 28-5284    10907
                                                              65,424     1,200       X        28-4580     1200
   COLUMN TOTAL                                            7,668,752







                                                                                                                    FILE NO. 28-1235
PAGE 219 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
US BANCORP DEL               COM NEW        902973304     87,318,735 2,698,354       X        28-5284  2551957            146397
                                                          23,852,459   737,097       X      X 28-5284   626481      4735  105881
                                                             127,013     3,925       X        28-11135    3925
                                                              77,664     2,400       X        28-11439    2400
                                                              43,104     1,332       X        28-4580     1332
                                                              15,015       464       X      X 28-4580      464
UQM TECHNOLOGIES INC         COM            903213106            507       300       X        28-5284      300
URS CORP NEW                 COM            903236107          1,635        50       X        28-5284       50
                                                               9,807       300       X      X 28-5284      300
USANA HEALTH SCIENCES INC    COM            90328M107        169,631     7,700       X      X 28-5284               7700
USA TECHNOLOGIES INC         CONV PFD SER A 90328S203         25,200     4,000       X      X 28-5284                       4000
USA TECHNOLOGIES INC         COM NO PAR     90328S500          6,494     1,443       X      X 28-5284     1383                60
U S G CORP                   COM NEW        903293405         46,025     1,250       X        28-5284     1250
                                                             112,301     3,050       X      X 28-5284     1050              2000
USEC INC                     NOTE  3.000%10 90333EAC2     29,062,500   500,000       X      X 28-5284             500000
                                                             639,375    11,000       X        28-4580    11000
USEC INC                     COM            90333E108          6,320     1,708       X        28-5284     1708
                                                               3,700     1,000       X      X 28-5284     1000
                                                               1,598       432       X        28-4580      432
USA MOBILITY INC             COM            90341G103            878       123       X        28-5284      123
U S AIRWAYS GROUP INC        COM            90341W108          8,910     1,000       X        28-5284     1000
U S SHIPPING PARTNERS L P    COM UNIT       903417103            596        50       X      X 28-5284       50
ULTRA CLEAN HLDGS INC        COM            90385V107          5,831       595       X        28-5284      595
                                                               5,880       600       X      X 28-5284      600
ULTRALIFE BATTERIES INC      COM            903899102            827        70       X        28-11135      70
ULTRA PETROLEUM CORP         COM            903914109        166,315     2,146       X        28-5284     2146
                                                           1,126,618    14,537       X      X 28-5284     3787             10750
                                                                 853        11       X      X 28-4580       11
   COLUMN TOTAL                                          142,835,791







                                                                                                                    FILE NO. 28-1235
PAGE 220 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
ULTRAPAR PARTICIPACOES S A   SP ADR REP PFD 90400P101        168,076     4,876       X        28-11135    4876
ULTRATECH INC                COM            904034105          1,442       150       X        28-5284                        150
UNDER ARMOUR INC             CL A           904311107         18,300       500       X        28-5284      100               400
                                                              25,620       700       X      X 28-5284      400               300
UNIFIRST CORP MASS           COM            904708104          3,709       100       X        28-5284                        100
UNILEVER PLC                 SPON ADR NEW   904767704      7,302,235   216,555       X        28-5284   172658             43897
                                                           3,293,972    97,686       X      X 28-5284    69738             27948
                                                               6,980       207       X        28-11135     207
                                                              29,370       871       X        28-4580      871
                                                              48,253     1,431       X      X 28-4580     1431
UNILEVER N V                 N Y SHS NEW    904784709     11,333,449   336,005       X        28-5284   312728             23277
                                                          15,514,856   459,972       X      X 28-5284   438840      5352   15780
                                                             167,807     4,975       X        28-11135    4975
                                                              87,428     2,592       X        28-4580     2292               300
                                                              88,440     2,622       X      X 28-4580     2622
UNION BANKSHARES INC         COM            905400107         75,600     4,000       X      X 28-5284     4000
UNION DRILLING INC           COM            90653P105        547,839    31,323       X        28-11135   31323
UNION PAC CORP               COM            907818108     25,440,856   202,910       X        28-5284   192630             10280
                                                          23,162,827   184,741       X      X 28-5284   176471       500    7770
                                                             102,561       818       X        28-11135     818
                                                             115,224       919       X        28-4580      919
                                                             406,231     3,240       X      X 28-4580     3240
UNIONBANCAL CORP             COM            908906100        125,007     2,547       X        28-5284                       2547
                                                             128,982     2,628       X        28-11135    2628
                                                           5,050,332   102,900       X        28-1500   102900
UNISOURCE ENERGY CORP        COM            909205106          5,788       260       X        28-5284                        260
                                                              70,008     3,145       X        28-11135    3145
UNISYS CORP                  COM            909214108          3,145       710       X        28-5284      710
                                                                 665       150       X      X 28-5284      150
                                                                 930       210       X        28-4580      210
   COLUMN TOTAL                                           93,325,932







                                                                                                                    FILE NO. 28-1235
PAGE 221 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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        250,393     4,420       X        28-5284     4070               350
                                                               6,345       112       X      X 28-5284      112
                                                             416,094     7,345       X        28-11135    7345
UNITED AMERN HEALTHCARE CORP COM            90934C105      2,596,636   920,793       X      X 28-5284             920793
UNITED CMNTY BKS BLAIRSVLE G CAP STK        90984P105         38,273     2,254       X        28-11135    2254
UNITED BANKSHARES INC WEST V COM            909907107        237,905     8,927       X        28-5284     8627               300
                                                              83,148     3,120       X      X 28-5284     3120
UNITED BANCORP INC OHIO      COM            909911109         41,882     4,300       X        28-5284     4300
UNITED DOMINION REALTY TR IN NOTE 4.000%12  910197AK8      2,050,922     2,000       X        28-11439    2000
UNITED DOMINION REALTY TR IN NOTE 3.625%    910197AM4      3,167,743     3,500       X        28-11439    3500
UNITED FIRE & CAS CO         COM            910331107          1,122        30       X        28-5284       30
                                                               3,740       100       X      X 28-5284      100
UNITED MICROELECTRONICS CORP SPON ADR NEW   910873405            348       103       X      X 28-5284      103
UNITED NAT FOODS INC         COM            911163103          5,987       320       X        28-5284                        320
                                                             101,221     5,410       X        28-11135    5410
UNITED ONLINE INC            COM            911268100        162,994    15,435       X        28-5284    13735              1700
                                                             654,973    62,024       X      X 28-5284    26920     34419     685
UNITED PARCEL SERVICE INC    CL B           911312106     80,287,389 1,099,526       X        28-5284  1029837             69689
                                                          35,869,907   491,234       X      X 28-5284   474741       950   15543
                                                              43,009       589       X        28-11135     589
                                                              92,735     1,270       X        28-4580     1270
                                                              59,876       820       X      X 28-4580      820
UNITED STATES NATL GAS FUND  UNIT           912318102         48,500     1,000       X      X 28-5284     1000
UNITED STATES OIL FUND LP    UNITS          91232N108        406,719     4,999       X        28-5284     4999
                                                                 407         5       X      X 28-5284        5
U STORE IT TR                COM            91274F104        224,107    19,780       X        28-5284    19780
                                                               9,517       840       X      X 28-5284      840
UNITED STATES STL CORP NEW   COM            912909108        781,392     6,159       X        28-5284     4870              1289
                                                             298,145     2,350       X      X 28-5284     2350
                                                             291,547     2,298       X        28-11135    2298
   COLUMN TOTAL                                          128,232,976







                                                                                                                    FILE NO. 28-1235
PAGE 222 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
UNITED STATIONERS INC        COM            913004107          9,540       200       X        28-5284                        200
                                                              11,925       250       X      X 28-5284      250
UNITED TECHNOLOGIES CORP     COM            913017109    132,657,638 1,927,603       X        28-5284  1827809             99794
                                                         104,505,028 1,518,527       X      X 28-5284  1375375      8172  134980
                                                             595,224     8,649       X        28-11135    8649
                                                           2,279,112    33,117       X        28-4580    32617               500
                                                           2,092,266    30,402       X      X 28-4580    30260               142
UNITED THERAPEUTICS CORP DEL COM            91307C102         26,010       300       X      X 28-5284      300
UNITEDHEALTH GROUP INC       COM            91324P102      5,471,074   159,228       X        28-5284   128678             30550
                                                           2,693,996    78,405       X      X 28-5284    58440             19965
                                                             963,386    28,038       X        28-11135   28038
                                                             303,227     8,825       X        28-4580     8825
UNITRIN INC                  COM            913275103        129,380     3,661       X        28-5284     1361              2300
                                                               7,068       200       X      X 28-5284      200
UNIVERSAL CORP VA            COM            913456109         75,360     1,150       X      X 28-5284     1000               150
UNIVERSAL DISPLAY CORP       COM            91347P105         28,640     2,000       X        28-5284                       2000
UNIVERSAL FST PRODS INC      COM            913543104          4,830       150       X        28-5284                        150
UNIVERSAL HEALTH RLTY INCM T SH BEN INT     91359E105        158,175     4,750       X      X 28-5284     3400              1350
UNIVERSAL HLTH SVCS INC      CL B           913903100         53,690     1,000       X        28-5284     1000
                                                              16,107       300       X      X 28-5284                        300
UNUM GROUP                   COM            91529Y106        369,856    16,804       X        28-5284     8807              7997
                                                             324,295    14,734       X      X 28-5284    13857               877
                                                              14,174       644       X        28-11135     644
URBAN OUTFITTERS INC         COM            917047102      7,867,596   250,960       X        28-5284   181971             68989
                                                           6,356,495   202,759       X      X 28-5284   183574             19185
                                                             931,785    29,722       X        28-11135   29722
URSTADT BIDDLE PPTYS INS     COM            917286106         13,471       830       X        28-5284      830
                                                               8,115       500       X      X 28-5284      500
URSTADT BIDDLE PPTYS INS     CL A           917286205         66,066     4,200       X        28-5284     3200              1000
                                                              55,055     3,500       X      X 28-5284     2000              1500
   COLUMN TOTAL                                          268,088,584







                                                                                                                    FILE NO. 28-1235
PAGE 223 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                    ITEM 6:
                                                                                  INVESTMENT                      ITEM 8:
                                                                       ITEM 5:    DISCRETION    ITEM 7:      VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED    MANAGERS          (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL -------------- -------- --------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE        AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                             
UTSTARCOM INC                COM            918076100          1,661        585       X        28-5284       585
VCA ANTECH INC               COM            918194101        192,818      7,050       X        28-5284      1350             5700
                                                             113,503      4,150       X      X 28-5284      4150
V F CORP                     COM            918204108      1,515,631     19,554       X        28-5284     13454             6100
                                                        1654,606,590 21,347,008       X      X 28-5284  21346858              150
                                                              87,044      1,123       X        28-11135     1123
                                                          26,904,109    347,105       X      X 28-4580              347105
VIST FINANCIAL CORP          COM            918255100         13,612        766       X        28-5284       766
VSE CORP                     COM            918284100          4,235        150       X        28-5284       150
VAIL RESORTS INC             COM            91879Q109          5,215        108       X        28-5284       108
                                                              21,682        449       X        28-11135      449
VALHI INC NEW                COM            918905100          8,631        369       X        28-5284       369
VALENCE TECHNOLOGY INC       COM            918914102          8,820      2,000       X      X 28-5284      2000
VALEANT PHARMACEUTICALS INTL COM            91911X104          6,415        500       X        28-5284       500
VALE CAP LTD                 NT RIO CV VALE 91912C208      5,298,668     80,000       X        28-11439    80000
VALERO ENERGY CORP NEW       COM            91913Y100        320,394      6,524       X        28-5284      6424              100
                                                           1,130,610     23,022       X      X 28-5284     22322              700
                                                             973,066     19,814       X        28-11135    19814
                                                              39,583        806       X        28-4580       806
                                                                 589         12       X      X 28-4580        12
VALLEY NATL BANCORP          COM            919794107         73,036      3,802       X        28-5284      3802
                                                               2,882        150       X      X 28-5284                        150
VALMONT INDS INC             COM            920253101         24,609        280       X        28-5284       150              130
VALSPAR CORP                 COM            920355104        159,811      8,055       X        28-5284      8055
                                                             989,500     49,874       X      X 28-5284     18589            31285
                                                               9,920        500       X        28-11135      500
VALUECLICK INC               COM            92046N102         25,616      1,485       X        28-5284       835       650
                                                              27,842      1,614       X      X 28-5284      1614
                                                             294,095     17,049       X        28-11135    17049
   COLUMN TOTAL                                        1,692,860,187







                                                                                                                    FILE NO. 28-1235
PAGE 224 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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          8,327     2,359       X        28-5284     2359
VAN KAMPEN MUN TR            SH BEN INT     920919107        141,320    10,211       X        28-5284    10211
                                                              27,680     2,000       X      X 28-5284     2000
VAN KAMPEN TR INSD MUNS      COM            920928108         45,629     3,365       X      X 28-5284     3365
VAN KAMPEN TR INVT GRADE MUN COM            920929106        211,299    15,356       X        28-5284    15356
                                                              20,640     1,500       X      X 28-5284     1500
VAN KAMPEN MUN OPPORTUNITY T COM            920935103         93,309     6,922       X        28-5284     6922
                                                               4,044       300       X      X 28-5284      300
VAN KAMPEN BD FD             COM            920955101         69,905     4,100       X      X 28-5284                       4100
VAN KAMPEN SENIOR INCOME TR  COM            920961109         70,470    11,944       X        28-5284    11944
VAN KAMPEN ADVANTAGE MUN II  SH BEN INT     92112K107         59,679     5,049       X        28-5284     5049
VAN KAMPEN SELECT SECTOR MUN COM            92112M103         49,520     4,000       X        28-5284     4000
VAN KAMPEN PA VALUE MUN INCO COM            92112T108        500,798    37,968       X        28-5284    37968
                                                             229,295    17,384       X      X 28-5284    17384
VAN KAMPEN DYNAMIC CR OPPORT COM            921166104         29,360     2,000       X        28-5284     2000
VANGUARD SPECIALIZED PORTFOL DIV APP ETF    921908844        132,550     2,500       X        28-5284     2500
                                                              21,685       409       X      X 28-5284      409
                                                               5,302       100       X        28-11439     100
VANGUARD BD INDEX FD INC     LONG TERM BOND 921937793        217,008     2,815       X        28-11135    2815
VANGUARD BD INDEX FD INC     SHORT TRM BOND 921937827      2,059,601    26,061       X        28-5284    21220              4841
                                                             105,031     1,329       X      X 28-5284     1329
                                                             215,357     2,725       X        28-11135    2725
VANGUARD BD INDEX FD INC     TOTAL BND MRKT 921937835      2,148,694    27,498       X        28-5284    27498
                                                             293,885     3,761       X      X 28-5284     3761
VANGUARD TAX-MANAGED FD      EUROPE PAC ETF 921943858        115,490     2,620       X        28-5284     2620
                                                             122,939     2,789       X      X 28-5284     2789
                                                              50,295     1,141       X      X 28-4580     1141
VANGUARD WHITEHALL FDS INC   HIGH DIV YLD   921946406         36,085       765       X        28-5284      765
   COLUMN TOTAL                                            7,085,197







                                                                                                                    FILE NO. 28-1235
PAGE 225 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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        995,251    20,332       X        28-5284    20332
                                                             243,869     4,982       X      X 28-5284     4982
                                                              20,412       417       X        28-4580      417
VANGUARD WORLD FDS           CONSUM STP ETF 92204A207      1,883,123    27,367       X        28-5284    27367
                                                           2,150,657    31,255       X      X 28-5284    31255
                                                              88,696     1,289       X        28-4580     1289
VANGUARD WORLD FDS           ENERGY ETF     92204A306        711,472     6,653       X        28-5284     6653
                                                              78,922       738       X      X 28-5284      738
                                                              35,504       332       X        28-4580      332
VANGUARD WORLD FDS           FINANCIALS ETF 92204A405        640,320    13,993       X        28-5284    13993
                                                             119,800     2,618       X      X 28-5284     2618
                                                              47,545     1,039       X        28-4580     1039
VANGUARD WORLD FDS           HEALTH CAR ETF 92204A504        822,109    15,335       X        28-5284    14781               554
                                                              37,849       706       X      X 28-5284      706
                                                              64,332     1,200       X        28-4580     1200
                                                              40,208       750       X      X 28-4580      750
VANGUARD WORLD FDS           INDUSTRIAL ETF 92204A603      2,077,792    30,065       X        28-5284    30065
                                                           1,330,713    19,255       X      X 28-5284    19255
                                                              15,412       223       X        28-4580      223
VANGUARD WORLD FDS           INF TECH ETF   92204A702      5,375,771   105,739       X        28-5284   105739
                                                           5,427,780   106,762       X      X 28-5284   106762
                                                             131,116     2,579       X        28-4580     2579
VANGUARD WORLD FDS           MATERIALS ETF  92204A801      3,769,213    44,375       X        28-5284    42165              2210
                                                           1,637,388    19,277       X      X 28-5284    19277
                                                              10,278       121       X        28-4580      121
                                                              14,865       175       X      X 28-4580      175
VANGUARD WORLD FDS           UTILITIES ETF  92204A876        465,769     5,947       X        28-5284     5947
                                                               7,362        94       X      X 28-5284       94
                                                              15,507       198       X        28-4580      198
                                                              31,328       400       X      X 28-4580      400
VANGUARD WORLD FDS           TELCOMM ETF    92204A884        186,321     3,011       X        28-5284     3011
                                                              19,121       309       X      X 28-5284      309
   COLUMN TOTAL                                           28,495,805







                                                                                                                    FILE NO. 28-1235
PAGE 226 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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        499,599     9,269       X        28-5284     9269
                                                              64,357     1,194       X      X 28-5284     1194
                                                             241,903     4,488       X      X 28-4580     4488
VANGUARD INTL EQUITY INDEX F EMR MKT ETF    922042858     12,558,835   133,562       X        28-5284   126027              7535
                                                          17,725,971   188,514       X      X 28-5284   175314             13200
                                                             270,430     2,876       X        28-11135    2876
                                                             242,221     2,576       X        28-4580     2576
                                                             488,956     5,200       X      X 28-4580     5200
VANGUARD INTL EQUITY INDEX F PACIFIC ETF    922042866      1,253,566    20,327       X        28-5284    19012              1315
                                                              59,142       959       X      X 28-5284      844       115
                                                              42,922       696       X        28-4580      696
VANGUARD INTL EQUITY INDEX F EURPEAN ETF    922042874      2,193,163    31,882       X        28-5284    31882
                                                             404,004     5,873       X      X 28-5284     5873
VARIAN MED SYS INC           COM            92220P105      9,781,457   208,827       X        28-5284   196141             12686
                                                           2,893,494    61,774       X      X 28-5284    60840               934
                                                              13,209       282       X        28-4580      282
                                                              46,840     1,000       X      X 28-4580     1000
VARIAN INC                   COM            922206107          5,792       100       X        28-5284      100
                                                              11,584       200       X      X 28-5284      200
VARIAN SEMICONDUCTOR EQUIPMN COM            922207105         26,489       941       X        28-5284      361               580
                                                              15,708       558       X      X 28-5284      558
VASCO DATA SEC INTL INC      COM            92230Y104        995,904    72,800       X      X 28-5284    72800
VASOGEN INC                  COM NEW        92232F202             43        50       X        28-5284       50
VECTREN CORP                 COM            92240G101        195,993     7,305       X        28-5284     7305
                                                             385,842    14,381       X      X 28-5284    14381
VECTOR GROUP LTD             COM            92240M108         18,470     1,050       X      X 28-5284     1050
VEECO INSTRS INC DEL         COM            922417100          3,825       230       X        28-5284                        230
VENTAS INC                   COM            92276F100        871,344    19,402       X        28-5284    15051              4351
                                                             114,071     2,540       X      X 28-5284     2340               200
   COLUMN TOTAL                                           51,425,134







                                                                                                                    FILE NO. 28-1235
PAGE 227 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
VANGUARD INDEX FDS           MCAP VL IDXVIP 922908512      1,156,086    23,700       X        28-5284    13783              9917
                                                           1,386,035    28,414       X      X 28-5284    26939              1475
                                                              51,560     1,057       X        28-4580     1057
                                                              45,268       928       X      X 28-4580      928
VANGUARD INDEX FDS           MCAP GR IDXVIP 922908538      1,193,508    21,139       X        28-5284    11167              9972
                                                           1,828,401    32,384       X      X 28-5284    30920              1464
                                                              60,017     1,063       X        28-4580     1063
VANGUARD INDEX FDS           REIT ETF       922908553        105,439     1,690       X        28-5284     1690
                                                             101,820     1,632       X      X 28-5284      579              1053
                                                              12,166       195       X      X 28-4580      195
VANGUARD INDEX FDS           SML CP GRW ETF 922908595      2,955,272    47,036       X        28-5284    45054              1982
                                                             500,064     7,959       X      X 28-5284     4722              3237
                                                              24,378       388       X        28-4580      388
                                                              85,951     1,368       X      X 28-4580     1368
VANGUARD INDEX FDS           SM CP VAL ETF  922908611        942,082    15,644       X        28-5284    13720              1924
                                                           1,094,197    18,170       X      X 28-5284    16092              2078
                                                              22,161       368       X        28-4580      368
                                                              40,167       667       X      X 28-4580      667
VANGUARD INDEX FDS           MID CAP ETF    922908629      3,059,065    45,099       X        28-5284    43649              1450
                                                          14,264,174   210,293       X      X 28-5284    26791            183502
                                                              94,894     1,399       X        28-4580     1399
                                                             100,388     1,480       X      X 28-4580     1480
VANGUARD INDEX FDS           LARGE CAP ETF  922908637     10,624,914   178,600       X        28-5284   164307             14293
                                                          39,177,556   658,557       X      X 28-5284    46523            612034
                                                             883,545    14,852       X      X 28-4580    14852
VANGUARD INDEX FDS           EXTEND MKT ETF 922908652         28,542       300       X        28-5284      300
                                                              78,300       823       X      X 28-5284      823
VANGUARD INDEX FDS           GROWTH ETF     922908736     12,775,364   220,493       X        28-5284   194496             25997
                                                          25,972,532   448,266       X      X 28-5284   102232     31449  314585
                                                             192,245     3,318       X        28-4580     3318
                                                              74,511     1,286       X      X 28-4580     1286
   COLUMN TOTAL                                          118,930,602







                                                                                                                    FILE NO. 28-1235
PAGE 228 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
VANGUARD INDEX FDS           VALUE ETF      922908744     15,610,346   259,826       X        28-5284   238663             21163
                                                           5,147,474    85,677       X      X 28-5284    68154     16580     943
                                                             171,769     2,859       X        28-4580     2859
                                                             195,981     3,262       X      X 28-4580     3262
VANGUARD INDEX FDS           SMALL CP ETF   922908751      4,608,769    74,757       X        28-5284    74483               274
                                                           7,978,866   129,422       X      X 28-5284    21131      4530  103761
                                                              92,660     1,503       X        28-4580     1503
                                                              50,121       813       X      X 28-4580      813
VANGUARD INDEX FDS           STK MRK ETF    922908769     15,477,257   118,147       X        28-5284   117769               378
                                                           2,858,813    21,823       X      X 28-5284    21351        87     385
VEOLIA ENVIRONNEMENT         SPONSORED ADR  92334N103        180,210     2,577       X        28-5284     1577              1000
                                                             314,685     4,500       X      X 28-5284     1500              3000
VERENIUM CORPORATION         COM            92340P100          4,101     1,165       X        28-5284     1165
VERIFONE HLDGS INC           COM            92342Y109         17,362     1,094       X        28-5284     1094
                                                               7,935       500       X      X 28-5284      500
VERISIGN INC                 COM            92343E102         20,808       626       X        28-5284      626
                                                             116,340     3,500       X      X 28-5284     3500
VERIZON COMMUNICATIONS INC   COM            92343V104     75,411,879 2,068,913       X        28-5284  1970063             98850
                                                         114,409,989 3,138,820       X      X 28-5284  2575615      5038  558167
                                                           1,063,356    29,173       X        28-11135   29173
                                                           2,245,320    61,600       X        28-11439   61600
                                                           1,403,945    38,517       X        28-4580    38517
                                                           1,177,554    32,306       X      X 28-4580    31123       590     593
VERSAR INC                   COM            925297103          9,450     1,500       X      X 28-5284     1500
VERSO TECHNOLOGIES INC       COM NEW        925317208            792     5,110       X      X 28-5284               5110
VERTEX PHARMACEUTICALS INC   COM            92532F100         43,002     1,800       X        28-5284     1800
                                                              27,999     1,172       X      X 28-4580     1172
VIAD CORP                    COM NEW        92552R406         28,340       787       X        28-5284      787
VIASAT INC                   COM            92552V100         20,634       950       X        28-5284      750               200
                                                               8,688       400       X      X 28-5284      400
   COLUMN TOTAL                                          248,704,445







                                                                                                                    FILE NO. 28-1235
PAGE 229 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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 A           92553P102         70,189     1,772       X        28-5284     1385               387
                                                              51,097     1,290       X      X 28-5284      937               353
VIACOM INC NEW               CL B           92553P201      2,398,555    60,539       X        28-5284    49711             10828
                                                           2,560,799    64,634       X      X 28-5284    51851             12783
                                                              30,666       774       X        28-11135     774
                                                               3,962       100       X        28-4580      100
                                                              39,620     1,000       X      X 28-4580     1000
VICAL INC                    COM            925602104          3,520     1,000       X        28-5284     1000
VICOR CORP                   COM            925815102          1,552       130       X        28-5284                        130
VILLAGE BK & TR FINANCIAL CO COM            92705T101        806,325    73,369       X      X 28-5284    73369
VIROPHARMA INC               COM            928241108          5,811       650       X        28-5284      650
                                                               1,788       200       X      X 28-5284      200
VISHAY INTERTECHNOLOGY INC   COM            928298108         58,437     6,450       X        28-5284     6450
                                                              56,109     6,193       X      X 28-5284     6193
VISTEON CORP                 COM            92839U107          1,384       368       X        28-5284      368
                                                               1,812       482       X      X 28-5284      482
                                                               4,474     1,190       X        28-4580     1190
VITAL SIGNS INC              COM            928469105          3,546        70       X        28-5284                         70
                                                              52,220     1,031       X        28-11135    1031
VMWARE INC                   CL A COM       928563402         25,692       600       X        28-5284      600
                                                               6,423       150       X      X 28-5284      150
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209      8,027,871   272,039       X        28-5284   214064             57975
                                                          11,370,469   385,309       X      X 28-5284   322274             63035
                                                             700,272    23,730       X        28-11135   23730
                                                              80,533     2,729       X        28-4580     2729
                                                              58,076     1,968       X      X 28-4580     1968
VOCUS INC                    COM            92858J108        396,000    15,000       X        28-5284                      15000
VOLT INFORMATION SCIENCES IN COM            928703107          1,781       105       X        28-5284                        105
VONAGE HLDGS CORP            COM            92886T201          1,317       712       X        28-5284      712
   COLUMN TOTAL                                           26,820,300







                                                                                                                    FILE NO. 28-1235
PAGE 230 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
VORNADO RLTY TR              SH BEN INT     929042109      1,537,814    17,838       X        28-5284    17638               200
                                                             358,030     4,153       X      X 28-5284     4153
                                                                 776         9       X        28-11135       9
VORNADO RLTY TR              PFD CONV SER A 929042208         59,010       500       X        28-5284                        500
VULCAN MATLS CO              COM            929160109      1,690,278    25,456       X        28-5284    13453             12003
                                                             266,729     4,017       X      X 28-5284     4017
                                                               2,656        40       X        28-4580       40
W & T OFFSHORE INC           COM            92922P106          1,706        50       X        28-5284       50
WCI CMNTYS INC               COM            92923C104         12,730     3,800       X        28-5284     3800
                                                                 670       200       X      X 28-5284      200
WD-40 CO                     COM            929236107          4,323       130       X        28-5284                        130
                                                              39,900     1,200       X      X 28-5284     1200
                                                             481,660    14,486       X        28-11135   14486
WGL HLDGS INC                COM            92924F106        105,798     3,300       X        28-5284     3300
                                                             455,765    14,216       X      X 28-5284     7116              7100
W-H ENERGY SVCS INC          COM            92925E108          1,859        27       X        28-5284       27
                                                                 138         2       X      X 28-5284        2
W HLDG CO INC                COM            929251106            708       595       X        28-5284      595
WABCO HLDGS INC              COM            92927K102          1,505        33       X        28-5284       33
                                                              81,295     1,782       X      X 28-5284     1782
WMS INDS INC                 COM            929297109         21,582       600       X        28-5284      600
                                                             160,067     4,450       X      X 28-5284     4450
W P CAREY & CO LLC           COM            92930Y107        991,018    33,067       X        28-5284    32567               500
                                                             682,177    22,762       X      X 28-5284    21262              1500
WPP GROUP PLC                SPON ADR 0905  929309409          2,565        43       X        28-5284       43
                                                               4,652        78       X      X 28-5284       78
                                                              27,077       454       X        28-11135     454
WSFS FINL CORP               COM            929328102         12,764       259       X        28-4580      259
WSB HOLDINGS INC             COM            92934C101         13,025     2,500       X      X 28-5284     2500
   COLUMN TOTAL                                            7,018,277







                                                                                                                    FILE NO. 28-1235
PAGE 231 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WVS FINL CORP                COM            929358109         32,000     2,000       X        28-5284     2000
WABASH NATL CORP             COM            929566107          1,798       200       X        28-5284                        200
                                                               2,697       300       X      X 28-5284      300
WABTEC CORP                  COM            929740108      2,393,293    63,550       X        28-5284     1900             61650
                                                           7,126,402   189,230       X      X 28-5284    40040            149190
                                                              66,884     1,776       X        28-11135    1776
                                                          10,070,359   267,402       X        28-4580   267402
WACHOVIA CORP NEW            COM            929903102     43,078,527 1,595,501       X        28-5284  1430014            165487
                                                          33,805,053 1,252,039       X      X 28-5284  1130901      3200  117938
                                                             903,339    33,457       X        28-11135   33457
                                                             843,345    31,235       X        28-4580    31235
                                                             570,834    21,142       X      X 28-4580    21142
WACOAL HOLDINGS CORP         ADR            930004205          8,890       120       X        28-5284      120
                                                                 444         6       X        28-11135       6
WADDELL & REED FINL INC      CL A           930059100        159,011     4,949       X        28-5284     4949
                                                             632,672    19,691       X      X 28-5284                      19691
                                                             418,847    13,036       X        28-11135   13036
WAL MART STORES INC          COM            931142103     87,256,729 1,656,354       X        28-5284  1567712             88642
                                                          59,734,431 1,133,911       X      X 28-5284  1061745      4329   67837
                                                             572,368    10,865       X        28-11135   10865
                                                           1,438,269    27,302       X        28-4580    27102               200
                                                             495,771     9,411       X      X 28-4580     9055               356
WALGREEN CO                  COM            931422109     51,310,620 1,347,089       X        28-5284  1193168            153921
                                                          20,910,762   548,983       X      X 28-5284   508634       300   40049
                                                              74,885     1,966       X        28-11135    1966
                                                             203,782     5,350       X        28-4580     5350
                                                              91,416     2,400       X      X 28-4580     2400
WALTER INDS INC              COM            93317Q105         36,012       575       X      X 28-5284      575
WARNACO GROUP INC            COM NEW        934390402         30,211       766       X        28-5284                        766
                                                              62,828     1,593       X        28-11135    1593
WARREN RES INC               COM            93564A100          2,873       242       X        28-4580      242
   COLUMN TOTAL                                          322,335,352







                                                                                                                    FILE NO. 28-1235
PAGE 232 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WASHINGTON MUT INC           COM            939322103      7,855,882   762,707       X        28-5284   725129             37578
                                                           2,401,126   233,119       X      X 28-5284   219016      2370   11733
                                                             454,148    44,092       X        28-11135   44092
                                                              51,243     4,975       X        28-4580     4975
                                                              25,750     2,500       X      X 28-4580     2500
WASHINGTON POST CO           CL B           939640108        530,523       802       X        28-5284      522               280
                                                           1,790,681     2,707       X      X 28-5284     1900               807
                                                              11,907        18       X        28-11135      18
WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101        148,719     4,450       X        28-5284     1800              2650
                                                             309,971     9,275       X      X 28-5284     8075              1200
                                                              83,550     2,500       X      X 28-4580     2500
WASHINGTON TR BANCORP        COM            940610108        101,638     4,095       X      X 28-5284     4095
WASTE CONNECTIONS INC        COM            941053100         17,614       573       X        28-5284       78               495
                                                              11,773       383       X        28-11135     383
WASTE MGMT INC DEL           COM            94106L109      1,964,267    58,530       X        28-5284    34930             23600
                                                             960,185    28,611       X      X 28-5284    11661             16950
                                                           1,030,225    30,698       X        28-11135   30698
                                                               2,819        84       X      X 28-4580       84
WATERS CORP                  COM            941848103     22,765,927   408,724       X        28-5284   382576             26148
                                                           7,148,092   128,332       X      X 28-5284   124824      1031    2477
                                                              82,937     1,489       X        28-11135    1489
                                                              11,140       200       X        28-4580      200
                                                             136,019     2,442       X      X 28-4580     2442
WATSCO INC                   COM            942622200          9,527       230       X        28-5284       30               200
WATSON PHARMACEUTICALS INC   COM            942683103          1,847        63       X        28-5284       63
                                                              19,058       650       X      X 28-5284                        650
WATSON WYATT WORLDWIDE INC   CL A           942712100          5,448        96       X        28-5284       96
                                                             181,260     3,194       X      X 28-5284                       3194
                                                              71,959     1,268       X        28-11135    1268
WATTS WATER TECHNOLOGIES INC CL A           942749102          7,008       250       X        28-5284                        250
WAUSAU PAPER CORP            COM            943315101          3,221       390       X        28-4580      390
   COLUMN TOTAL                                           48,195,464







                                                                                                                    FILE NO. 28-1235
PAGE 233 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WAYSIDE TECHNOLOGY GROUP INC COM            946760105         99,000    10,000       X        28-5284    10000
WEBSENSE INC                 COM            947684106        327,356    17,459       X        28-11439   17459
WEBMD HEALTH CORP            CL A           94770V102        129,635     5,500       X      X 28-5284     5500
WEBSTER FINL CORP CONN       COM            947890109         66,777     2,396       X        28-5284       43              2353
                                                              83,833     3,008       X      X 28-5284     3008
WEIGHT WATCHERS INTL INC NEW COM            948626106          1,066        23       X        28-5284       23
WEINGARTEN RLTY INVS         SH BEN INT     948741103      1,206,261    35,025       X        28-5284    35025
                                                           2,507,335    72,803       X      X 28-5284    24055             48748
                                                               3,444       100       X      X 28-4580      100
WEIS MKTS INC                COM            948849104          8,618       250       X      X 28-5284      250
WELLCARE HEALTH PLANS INC    COM            94946T106          6,076       156       X        28-11135     156
WELLPOINT INC                COM            94973V107     11,992,636   271,757       X        28-5284   264013              7744
                                                           6,223,566   141,028       X      X 28-5284   118323      1410   21295
                                                             207,941     4,712       X        28-11135    4712
                                                             416,190     9,431       X        28-4580     9046               385
                                                              83,582     1,894       X      X 28-4580     1894
WELLS FARGO & CO NEW         COM            949746101     83,804,188 2,879,869       X        28-5284  2778060            101809
                                                         101,955,400 3,503,622       X      X 28-5284  3353026     17850  132746
                                                             108,310     3,722       X        28-11135    3722
                                                           1,097,477    37,714       X        28-4580    37714
                                                             722,524    24,829       X      X 28-4580    24829
WENDYS INTL INC              COM            950590109         52,830     2,291       X        28-5284     2291
                                                              10,746       466       X      X 28-5284      166               300
WERNER ENTERPRISES INC       COM            950755108         46,400     2,500       X        28-5284     2500
                                                               1,206        65       X        28-11135      65
WESBANCO INC                 COM            950810101      1,387,491    56,151       X        28-5284    56151
                                                             450,216    18,220       X      X 28-5284    18220
WESCO INTL INC               COM            95082P105        183,545     5,030       X        28-5284     5030
                                                               4,598       126       X      X 28-5284      126
                                                             421,168    11,542       X        28-11135   11542
   COLUMN TOTAL                                          213,609,415







                                                                                                                    FILE NO. 28-1235
PAGE 234 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WEST PHARMACEUTICAL SVSC INC COM            955306105        340,571     7,700       X        28-5284     7700
                                                              39,011       882       X      X 28-5284      212               670
WESTAR ENERGY INC            COM            95709T100         30,170     1,325       X        28-5284     1325
                                                              13,662       600       X      X 28-5284      600
WESTAMERICA BANCORPORATION   COM            957090103         20,514       390       X        28-5284      390
WESTERN ASSET GLB HI INCOME  COM            95766B109         62,880     5,706       X      X 28-5284                       5706
WESTERN ASSET HIGH INCM FD I COM            95766J102         18,380     2,000       X        28-5284     2000
                                                               9,190     1,000       X      X 28-5284     1000
WESTERN ASST MNG MUN FD INC  COM            95766M105         54,500     5,000       X      X 28-5284     5000
WESTERN ASSET CLYM INFL SEC  COM SH BEN INT 95766Q106        177,452    14,800       X      X 28-5284                      14800
WESTERN ASSET CLYM INFL OPP  COM            95766R104        241,794    20,200       X      X 28-5284                      20200
WESTERN ASSET INCOME FD      COM            95766T100         19,875     1,500       X      X 28-5284                       1500
WESTERN ASSET INFL MGMT FD I COM            95766U107         94,683     5,586       X        28-5284     5586
                                                             181,382    10,701       X      X 28-5284                      10701
WESTERN ASSET 2008 WW DLR GO COM            95766W103         11,297     1,100       X        28-5284     1100
WESTERN ASSET PREMIER BD FD  SHS BEN INT    957664105        106,326     8,554       X      X 28-5284      354              8200
WESTERN ASSET VAR RT STRG FD COM            957667108        337,176    22,300       X      X 28-5284                      22300
WESTERN DIGITAL CORP         COM            958102105      1,910,809    70,666       X        28-5284    69169              1497
                                                           1,308,249    48,382       X      X 28-5284    48340                42
                                                               9,518       352       X        28-4580      352
WESTERN REFNG INC            COM            959319104         10,776       800       X        28-5284      800
                                                               1,347       100       X      X 28-5284      100
WESTERN UN CO                COM            959802109     10,121,649   475,865       X        28-5284   466949              8916
                                                           6,318,743   297,073       X      X 28-5284   290873      1842    4358
                                                              19,653       924       X        28-11135     924
                                                              56,366     2,650       X        28-4580     2650
                                                              19,845       933       X      X 28-4580      933
   COLUMN TOTAL                                           21,535,818







                                                                                                                    FILE NO. 28-1235
PAGE 235 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WESTFIELD FINANCIAL INC NEW  COM            96008P104         67,315     6,890       X        28-5284     6890
WESTPAC BKG CORP             SPONSORED ADR  961214301         13,277       122       X        28-5284      122
                                                              25,466       234       X        28-11135     234
WEYERHAEUSER CO              COM            962166104      1,159,923    17,834       X        28-5284    13634              4200
                                                           1,658,780    25,504       X      X 28-5284    22354       250    2900
                                                               2,016        31       X        28-11135      31
WHIRLPOOL CORP               COM            963320106        593,836     6,843       X        28-5284     5681              1162
                                                             407,953     4,701       X      X 28-5284     2551              2150
                                                               1,388        16       X        28-11135      16
                                                               3,298        38       X        28-4580       38
WHITING PETE CORP NEW        COM            966387102         51,720       800       X      X 28-5284      800
WHITNEY HLDG CORP            COM            966612103         39,838     1,607       X        28-5284     1100               507
                                                             226,605     9,141       X      X 28-5284     5991              3150
                                                             741,568    29,914       X        28-11135   29914
WHOLE FOODS MKT INC          COM            966837106      2,512,809    76,215       X        28-5284    48592             27623
                                                           2,338,727    70,935       X      X 28-5284    48010             22925
                                                                 659        20       X        28-11135      20
                                                              46,158     1,400       X        28-4580     1400
                                                               3,297       100       X      X 28-4580      100
WILEY JOHN & SONS INC        CL A           968223206        330,900     8,335       X        28-5284     8335
                                                              23,105       582       X        28-11135     582
                                                             274,843     6,923       X      X 28-4580     6923
WILLIAMS COAL SEAM GAS RTY T TR UNIT        969450105         14,647     1,477       X        28-5284     1477
WILLIAMS COS INC DEL         COM            969457100        652,015    19,770       X        28-5284    17670              2100
                                                             849,763    25,766       X      X 28-5284    20011              5755
                                                             311,760     9,453       X        28-11135    9453
WILLIAMS PARTNERS L P        COM UNIT L P   96950F104         63,000     2,000       X      X 28-5284     2000
WILLIAMS SONOMA INC          COM            969904101         60,115     2,480       X        28-5284     2480
                                                               5,793       239       X      X 28-5284      239
   COLUMN TOTAL                                           12,480,574







                                                                                                                    FILE NO. 28-1235
PAGE 236 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        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      2,639,053    84,857       X        28-5284    83757              1100
                                                             770,565    24,777       X      X 28-5284    14577             10200
                                                             749,821    24,110       X        28-4580    24110
                                                           3,338,989   107,363       X      X 28-4580   105934              1429
WILSHIRE BANCORP INC         COM            97186T108         15,280     2,000       X        28-5284     2000
WIMM BILL DANN FOODS OJSC    SPONSORED ADR  97263M109          5,124        50       X        28-5284       50
WIND RIVER SYSTEMS INC       COM            973149107          5,031       650       X        28-5284      650
WINDSTREAM CORP              COM            97381W104      2,197,999   183,933       X        28-5284   154966             28967
                                                           1,631,402   136,519       X      X 28-5284   123173       155   13191
                                                                 370        31       X        28-11135      31
                                                                 299        25       X        28-4580       25
                                                              14,412     1,206       X      X 28-4580     1206
WINNEBAGO INDS INC           COM            974637100          4,394       260       X        28-5284       20               240
                                                              30,420     1,800       X      X 28-5284     1800
WINTHROP RLTY TR             SH BEN INT     976391102         58,380    14,170       X      X 28-5284                      14170
WISCONSIN ENERGY CORP        COM            976657106        226,505     5,149       X        28-5284     4449               700
                                                             751,921    17,093       X      X 28-5284    14793              2300
                                                               2,947        67       X        28-11135      67
WISDOMTREE TRUST             HG-YIELDING EQ 97717W208          9,574       200       X      X 28-4580      200
WISDOMTREE TRUST             LARGECAP DIVID 97717W307     63,206,743 1,200,736       X        28-5284  1200486               250
                                                             185,661     3,527       X      X 28-5284     1277              2250
                                                             884,352    16,800       X        28-4580    16800
                                                             194,768     3,700       X      X 28-4580     3700
WISDOMTREE TRUST             EMRG MKT HGHYD 97717W315         29,170       560       X      X 28-5284      560
WISDOMTREE TRUST             INDIA ERNGS FD 97717W422          4,473       196       X      X 28-5284                        196
WISDOMTREE TRUST             MIDCAP DIVI FD 97717W505      1,734,469    36,180       X      X 28-5284    36180
WISDOMTREE TRUST             SMALLCAP DIVID 97717W604         51,534     1,114       X        28-5284     1114
WISDOMTREE TRUST             INTL BAS MATER 97717W752          8,968       248       X        28-5284      248
   COLUMN TOTAL                                           78,752,624







                                                                                                                    FILE NO. 28-1235
PAGE 237 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WISDOMTREE TRUST             INTL SMCAP DIV 97717W760        810,041    13,195       X        28-5284    13195
                                                              21,487       350       X      X 28-5284      350
WISDOMTREE TRUST             INTL MIDCAP DV 97717W778          6,261       100       X        28-5284      100
WISDOMTREE TRUST             INTL DV TOP100 97717W786        319,538     5,006       X        28-5284     5006
WISDOMTREE TRUST             DEFA HG YLD EQ 97717W802         15,050       250       X      X 28-5284      250
WISDOMTREE TRUST             PAC EXJP TOT D 97717W828         50,260       690       X        28-5284      690
WOLVERINE WORLD WIDE INC     COM            978097103         15,926       549       X        28-5284      144               405
WOODWARD GOVERNOR CO         COM            980745103         12,291       460       X        28-5284                        460
                                                              53,440     2,000       X      X 28-5284                       2000
WORLD ACCEP CORP DEL         COM            981419104            956        30       X        28-5284       30
WORLD WRESTLING ENTMT INC    CL A           98156Q108          1,489        80       X      X 28-5284       80
WORTHINGTON INDS INC         COM            981811102        298,936    17,720       X        28-5284     7150             10570
                                                             911,655    54,040       X      X 28-5284    53540               500
WRIGHT EXPRESS CORP          COM            98233Q105      1,041,747    33,900       X      X 28-5284    33900
WRIGHT MED GROUP INC         COM            98235T107         41,038     1,700       X      X 28-5284     1700
WRIGLEY WM JR CO             COM            982526105      9,821,264   156,290       X        28-5284   156290
                                                           5,983,248    95,214       X      X 28-5284    93039       800    1375
                                                              20,486       326       X        28-11135     326
                                                             591,199     9,408       X        28-4580     9408
                                                              25,136       400       X      X 28-4580      400
WYETH                        COM            983024100    126,493,629 3,029,062       X        28-5284  2895402      2490  131170
                                                         119,345,361 2,857,887       X      X 28-5284  2495218     16148  346521
                                                           1,056,612    25,302       X        28-11135   25302
                                                           2,376,269    56,903       X        28-4580    56680               223
                                                           3,414,256    81,759       X      X 28-4580    79709              2050
WYNDHAM WORLDWIDE CORP       COM            98310W108         33,088     1,600       X        28-5284     1600
                                                             182,935     8,846       X      X 28-5284     1906              6940
                                                              47,812     2,312       X        28-11135    2312
   COLUMN TOTAL                                          272,991,410







                                                                                                                    FILE NO. 28-1235
PAGE 238 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
WYNN RESORTS LTD             COM            983134107         11,272       112       X        28-5284      112
                                                              11,272       112       X      X 28-5284      112
XM SATELLITE RADIO HLDGS INC CL A           983759101         50,896     4,380       X        28-5284     4380
                                                              41,832     3,600       X      X 28-5284      600      1000    2000
XTO ENERGY INC               COM            98385X106     44,086,942   712,689       X        28-5284   679717             32972
                                                          13,435,002   217,184       X      X 28-5284   199422      5936   11826
                                                             147,474     2,384       X        28-11135    2384
                                                             667,779    10,795       X        28-4580    10795
                                                             104,853     1,695       X      X 28-4580     1695
X-RITE INC                   COM            983857103          1,134       190       X        28-5284                        190
                                                               8,806     1,475       X      X 28-5284                       1475
XCEL ENERGY INC              COM            98389B100      4,017,850   201,396       X        28-5284   164885             36511
                                                           4,202,408   210,647       X      X 28-5284   156682             53965
                                                              79,800     4,000       X      X 28-4580     4000
XILINX INC                   COM            983919101        353,115    14,868       X        28-5284    13868              1000
                                                              21,138       890       X      X 28-5284      890
                                                             806,978    33,978       X        28-11135   33978
XEROX CORP                   COM            984121103        324,580    21,682       X        28-5284    12082              9600
                                                             215,808    14,416       X      X 28-5284    13666               750
                                                             916,359    61,213       X        28-11135   61213
                                                              22,230     1,485       X        28-4580     1485
XERIUM TECHNOLOGIES INC      COM            98416J100            215       167       X        28-5284      167
YRC WORLDWIDE INC            COM            984249102         31,488     2,400       X        28-5284     2400
                                                                 499        38       X        28-11135      38
YADKIN VALLEY FINANCIAL CORP COM            984314104          1,265       100       X        28-5284      100
YAHOO INC                    COM            984332106      3,119,695   107,836       X        28-5284    64663             43173
                                                           1,792,300    61,953       X      X 28-5284    52003              9950
                                                               2,604        90       X        28-11135      90
YAMANA GOLD INC              COM            98462Y100         14,620     1,000       X        28-5284     1000
                                                              37,720     2,580       X      X 28-5284     2580
YANZHOU COAL MNG CO LTD      SPON ADR H SHS 984846105        142,060     2,000       X        28-5284     2000
   COLUMN TOTAL                                           74,669,994







                                                                                                                    FILE NO. 28-1235
PAGE 239 OF 239                   FORM 13F         NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.     AS OF 03/31/08

                                                                                   ITEM 6:
                                                                                 INVESTMENT                     ITEM 8:
                                                                      ITEM 5:    DISCRETION    ITEM 7:     VOTING AUTHORITY
                                             ITEM 3:      ITEM 4:    SHARES OR   (B)SHARED    MANAGERS         (SHARES)
             ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET  PRINCIPAL -------------- -------- -------------------------
        NAME OF ISSUER       TITLE OF CLASS   NUMBER       VALUE       AMOUNT  (A)SOLE (C)OTH INSTR V  (A)SOLE (B)SHARED (C)NONE
---------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                           
YINGLI GREEN ENERGY HLDG CO  ADR            98584B103          3,420       200       X        28-5284      200
YORK WTR CO                  COM            987184108          2,252       150       X        28-5284      150
                                                               4,503       300       X      X 28-5284      300
YOUBET COM INC               COM            987413101      1,809,202 2,233,583       X      X 28-5284            2233583
YUM BRANDS INC               COM            988498101      4,310,630   115,846       X        28-5284   114508              1338
                                                           5,232,917   140,632       X      X 28-5284   124088             16544
                                                                 744        20       X        28-11135      20
                                                              14,884       400       X        28-4580      400
ZALE CORP NEW                COM            988858106          7,311       370       X        28-5284                        370
ZEBRA TECHNOLOGIES CORP      CL A           989207105         58,810     1,765       X        28-5284     1765
                                                              14,994       450       X      X 28-5284      450
ZENITH NATL INS CORP         COM            989390109         10,399       290       X        28-5284                        290
                                                             308,790     8,611       X        28-11135    8611
ZILOG INC                    COM PAR $0.01  989524301          7,700     2,200       X      X 28-5284               2200
ZIMMER HLDGS INC             COM            98956P102     25,018,832   321,331       X        28-5284   311369              9962
                                                          22,096,590   283,799       X      X 28-5284   253101       221   30477
                                                           1,186,820    15,243       X        28-11135   15243
                                                             267,060     3,430       X        28-4580     3430
                                                             739,436     9,497       X      X 28-4580     9346       151
ZIONS BANCORPORATION         COM            989701107         74,793     1,642       X        28-5284      302              1340
                                                             101,121     2,220       X      X 28-5284      500              1720
ZORAN CORP                   COM            98975F101            574        42       X        28-11135      42
ZOLTEK COS INC               COM            98975W104         26,520     1,000       X        28-5284     1000
                                                              13,923       525       X      X 28-5284      525
ZWEIG FD                     COM            989834106         25,415     5,537       X      X 28-5284      405              5132
ZWEIG TOTAL RETURN FD INC    COM            989837109         60,246    12,984       X      X 28-5284     7771              5213
ZOLL MED CORP                COM            989922109         37,226     1,400       X        28-5284     1400
   COLUMN TOTAL                                           61,435,112
      GRAND TOTAL                                     35,935,296,211





PAGE   1 OF     1             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/08
         ENTITY TOTALS                                  FAIR MARKET                               ENTITY           UNITS

                                                                                                         
                                                         26,118,768,197                       28-5284             595,455,255
                                                            182,841,920                       28-11135              5,620,405
                                                            231,643,206                       28-11439              3,013,689
                                                            595,811,715                       28-4580              11,317,757
                                                          8,804,520,510                       28-4750              43,121,366
                                                              1,710,663                                                27,721
      GRAND TOTALS                                       35,935,296,211                                           658,556,193
  NUMBER OF ISSUES                                                3,359