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, 2012

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:  William S. Demchak

Title: President

Phone: (412) 768-2927

Signature, Place, and Date of Signing:

/s/ William S. Demchak          Pittsburgh, PA          May 4, 2012
----------------------          --------------          -----------
[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:                                      5
Form 13F Information Table Entry Total:                             3,166
Form 13F Information Table Value Total:                       $42,996,567
                                                              (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       28-4750                  PNC Bancorp, Inc.
2       28-5284                  PNC Bank, National Association
3       28-13605                 PNC Capital Advisors, LLC
4       28-13663                 PNC Delaware Trust Company
5       28-11439                 PNC Equity Securities, LLC





                                                                                                                  FILE NO. 28-1235
 PAGE     1 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DEUTSCHE BANK AG               NAMEN AKT      D18190898      107,049       2,150      X     28-5284       2150
                                                              15,833         318      X   X 28-5284        318
AIRCASTLE LTD                  COM            G0129K104        2,448         200      X     28-5284        200
ALKERMES PLC                   SHS            G01767105       20,405       1,100      X     28-5284       1100
                                                             338,704      18,259      X     28-13605     18259
AMDOCS LTD                     ORD            G02602103       86,908       2,752      X     28-5284       2456                 296
                                                              41,970       1,329      X   X 28-5284       1329
                                                             409,940      12,981      X     28-13605     12981
ARCH CAP GROUP LTD             ORD            G0450A105      299,521       8,043      X     28-5284       8043
                                                           1,158,872      31,119      X   X 28-5284      31119
                                                              55,860       1,500      X     28-13605      1500
ARCOS DORADOS HOLDINGS INC     SHS CLASS -A - G0457F107      211,526      11,693      X     28-5284      11693
                                                               1,845         102      X   X 28-5284        102
ARGO GROUP INTL HLDGS LTD      COM            G0464B107       37,338       1,250      X   X 28-5284       1250
ASPEN INSURANCE HOLDINGS LTD   SHS            G05384105       26,264         940      X     28-5284        940
                                                              41,323       1,479      X   X 28-5284         79                1400
ASSURED GUARANTY LTD           COM            G0585R106      206,500      12,500      X     28-5284      12500
                                                              27,109       1,641      X   X 28-5284       1641
                                                             496,030      30,026      X     28-13605     30026
AXIS CAPITAL HOLDINGS          SHS            G0692U109      191,922       5,786      X     28-5284         90                5696
                                                             119,677       3,608      X   X 28-5284        202                3406
ACCENTURE PLC IRELAND          SHS CLASS A    G1151C101    7,498,899     116,262      X     28-5284     110829                5433
                                                           4,783,191      74,158      X   X 28-5284      71904                2254
                                                           1,214,987      18,837      X     28-13605     11438                7399
                                                             670,542      10,396      X   X 28-13605     10146                 250
                                                              20,511         318      X     28-13663       300                  18
BROOKFIELD INFRAST PARTNERS    LP INT UNIT    G16252101       44,809       1,418      X     28-5284       1418
                                                              41,649       1,318      X   X 28-5284       1318
                                                             280,513       8,877      X     28-13605      8877
               COLUMN TOTAL                               18,452,145






                                                                                                                   FILE NO. 28-1235
 PAGE     2 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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      140,644       2,055      X     28-5284       2055
                                                             341,721       4,993      X   X 28-5284       4113                 880
                                                             127,846       1,868      X     28-13605      1868
                                                              20,532         300      X   X 28-13605       300
CONSOLIDATED WATER CO INC      ORD            G23773107       17,204       2,175      X     28-5284       2175
COOPER INDUSTRIES PLC          SHS            G24140108   13,618,153     212,950      X     28-5284     212254                 696
                                                           4,761,141      74,451      X   X 28-5284      71432                3019
                                                           3,444,475      53,862      X     28-13605     53795                  67
                                                           1,141,124      17,844      X   X 28-13605     17844
                                                             284,258       4,445      X     28-13663      4445
                                                             122,784       1,920      X   X 28-13663      1920
COSAN LTD                      SHS A          G25343107       29,700       2,000      X     28-5284       2000
                                                              29,700       2,000      X   X 28-5284       2000
COVIDIEN PLC                   SHS            G2554F113   31,282,920     572,109      X     28-5284     559313               12796
                                                           7,098,722     129,823      X   X 28-5284     123216                6607
                                                          35,101,389     641,942      X     28-13605    625516               16426
                                                           7,125,788     130,318      X   X 28-13605    124481       182      5655
                                                             268,698       4,914      X     28-13663      4549                 365
                                                              88,144       1,612      X   X 28-13663      1612
DELPHI AUTOMOTIVE PLC          SHS            G27823106      153,608       4,861      X     28-5284       2700                2161
                                                              56,880       1,800      X   X 28-5284        800                1000
ENDURANCE SPECIALTY HLDGS LT   SHS            G30397106        1,789          44      X     28-5284         44
                                                               1,301          32      X   X 28-5284         32
ENSTAR GROUP LIMITED           SHS            G3075P101      247,475       2,500      X     28-5284       2500
ASA GOLD AND PRECIOUS MTLS L   SHS            G3156P103    3,875,688     150,372      X     28-5284     150372
EVEREST RE GROUP LTD           COM            G3223R108       78,827         852      X     28-5284        852
                                                              35,990         389      X   X 28-5284        210                 179
                                                               8,789          95      X     28-13605        95
                                                               7,309          79      X   X 28-13605        79
FRESH DEL MONTE PRODUCE INC    ORD            G36738105        3,152         138      X     28-5284        138
FRONTLINE LTD                  SHS            G3682E127        5,022         653      X   X 28-5284        653
               COLUMN TOTAL                              109,520,773






                                                                                                                   FILE NO. 28-1235
 PAGE     3 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GENPACT LIMITED                SHS            G3922B107       32,812       2,013      X     28-13605      2013
                                                               5,884         361      X   X 28-13605       361
GREENLIGHT CAPITAL RE LTD      CLASS A        G4095J109    1,266,228      51,410      X     28-5284      29100               22310
                                                             544,027      22,088      X   X 28-5284        668               21420
                                                              90,638       3,680      X     28-13663                          3680
HELEN OF TROY CORP LTD         COM            G4388N106       49,417       1,453      X     28-5284       1453
                                                              10,203         300      X   X 28-5284                            300
HERBALIFE LTD                  COM USD SHS    G4412G101    5,079,467      73,808      X     28-5284      65294                8514
                                                             733,552      10,659      X   X 28-5284       3528                7131
                                                          23,668,574     343,920      X     28-13605    336721                7199
                                                           4,354,517      63,274      X   X 28-13605     61729        95      1450
                                                             142,044       2,064      X     28-13663      1600                 464
HOLLYSYS AUTOMATION TECHNOLO   SHS            G45667105       80,030       7,550      X     28-13605      7550
INGERSOLL-RAND PLC             SHS            G47791101    4,081,824      98,714      X     28-5284      97686                1028
                                                           6,947,792     168,024      X   X 28-5284     165830                2194
                                                             582,001      14,075      X     28-13605     10700                3375
                                                             963,248      23,295      X   X 28-13605     17895                5400
                                                              12,405         300      X     28-13663       300
                                                              70,709       1,710      X   X 28-13663      1710
INVESCO LTD                    SHS            G491BT108   11,628,227     436,004      X     28-5284     413439               22565
                                                           1,440,847      54,025      X   X 28-5284      50390                3635
                                                          27,418,307   1,028,058      X     28-13605    999155               28903
                                                           5,182,754     194,329      X   X 28-13605    189061       222      5046
                                                              32,724       1,227      X     28-13663      1180                  47
JAZZ PHARMACEUTICALS PLC       SHS USD        G50871105      230,911       4,764      X     28-13605      4764
KOSMOS ENERGY LTD              SHS            G5315B107        3,032         229      X   X 28-5284        229
                                                             242,610      18,324      X     28-13605     18324
LAZARD LTD                     SHS A          G54050102       39,241       1,374      X     28-5284       1374
                                                              47,438       1,661      X   X 28-5284       1661
                                                           3,093,305     108,309      X     28-13605    108309
                                                              14,194         497      X   X 28-13605       497
               COLUMN TOTAL                               98,088,962






                                                                                                                   FILE NO. 28-1235
 PAGE     4 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105      234,880      14,932      X     28-5284      14932
                                                             125,211       7,960      X   X 28-5284       7960
                                                               4,798         305      X   X 28-13605       305
MICHAEL KORS HLDGS LTD         SHS            G60754101      288,532       6,193      X     28-5284       6193
                                                               3,215          69      X     28-13605        69
MONTPELIER RE HOLDINGS LTD     SHS            G62185106        7,844         406      X     28-5284        406
NABORS INDUSTRIES LTD          SHS            G6359F103    1,127,038      64,439      X     28-5284      63533                 906
                                                             801,112      45,804      X   X 28-5284      44068                1736
                                                           1,603,011      91,653      X     28-13605     88491                3162
                                                              17,000         972      X   X 28-13605       972
                                                              19,974       1,142      X     28-13663      1142
NORDIC AMERICAN TANKERS LIMI   COM            G65773106       64,314       4,050      X     28-5284       4050
                                                              42,876       2,700      X   X 28-5284       2700
                                                               3,176         200      X     28-13605       200
                                                               7,940         500      X   X 28-13605       500
ONEBEACON INSURANCE GROUP LT   CL A           G67742109       10,695         694      X     28-5284        694
PARTNERRE LTD                  COM            G6852T105       91,652       1,350      X     28-5284       1270                  80
                                                              30,143         444      X   X 28-5284        444
                                                           2,647,031      38,990      X     28-13605     38990
                                                              14,664         216      X   X 28-13605       216
RENAISSANCERE HOLDINGS LTD     COM            G7496G103        2,953          39      X     28-5284         25                  14
                                                             221,132       2,920      X   X 28-5284       1220                1700
SEADRILL LIMITED               SHS            G7945E105   10,703,966     285,363      X     28-5284     282213                3150
                                                           7,272,251     193,875      X   X 28-5284     185625                8250
                                                           7,589,473     202,332      X     28-13605    142036               60296
                                                           1,048,592      27,955      X   X 28-13605     25702        53      2200
                                                              85,148       2,270      X     28-13663      2270
                                                             153,041       4,080      X   X 28-13663      4080
SEAGATE TECHNOLOGY PLC         SHS            G7945M107      161,514       5,992      X     28-5284       1972                4020
                                                             156,555       5,808      X   X 28-5284       5808
                                                               5,526         205      X     28-13605       205
SHIP FINANCE INTERNATIONAL L   SHS            G81075106        6,120         400      X     28-5284        400
                                                               1,913         125      X   X 28-13605       125
               COLUMN TOTAL                               34,553,290






                                                                                                                   FILE NO. 28-1235
 PAGE     5 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SIGNET JEWELERS LIMITED        SHS            G81276100       41,039         868      X   X 28-5284        368                 500
UTI WORLDWIDE INC              ORD            G87210103       12,440         722      X   X 28-5284        722
TRANSATLANTIC PETROLEUM LTD    SHS            G89982105        3,211       2,470      X     28-5284       2470
                                                               1,300       1,000      X   X 28-5284       1000
VALIDUS HOLDINGS LTD           COM SHS        G9319H102        3,405         110      X     28-5284        110
                                                             207,179       6,694      X   X 28-5284        305                6389
GOLAR LNG LTD BERMUDA          SHS            G9456A100      140,899       3,703      X   X 28-5284       3703
WHITE MTNS INS GROUP LTD       COM            G9618E107      117,402         234      X     28-5284         14                 220
                                                             469,610         936      X   X 28-5284         51                 885
WILLIS GROUP HOLDINGS PUBLIC   SHS            G96666105      195,293       5,583      X     28-5284       1973                3610
                                                             435,151      12,440      X   X 28-5284        250               12190
                                                               6,996         200      X     28-13605       200
                                                              63,839       1,825      X   X 28-13605      1825
XL GROUP PLC                   SHS            G98290102       52,208       2,407      X     28-5284        763                1644
                                                             218,115      10,056      X   X 28-5284        812                9244
                                                              97,757       4,507      X     28-13605       950                3557
                                                               2,798         129      X     28-13663                           129
ACE LTD                        SHS            H0023R105    8,339,310     113,925      X     28-5284     112595                1330
                                                           4,019,192      54,907      X   X 28-5284      42783               12124
                                                           6,340,364      86,617      X     28-13605     45420               41197
                                                             456,329       6,234      X   X 28-13605      6201        33
                                                              80,227       1,096      X     28-13663       980                 116
                                                              47,580         650      X   X 28-13663       650
ALLIED WRLD ASSUR COM HLDG A   SHS            H01531104        4,807          70      X     28-5284         70
                                                              15,176         221      X   X 28-5284        221
                                                             489,686       7,131      X     28-13605      7131
WEATHERFORD INTERNATIONAL LT   REG SHS        H27013103      568,108      37,648      X     28-5284      37226                 422
                                                             732,484      48,541      X   X 28-5284      32975               15566
                                                           2,371,484     157,156      X     28-13605    157122                  34
                                                               8,330         552      X   X 28-13605       552
               COLUMN TOTAL                               25,541,719






                                                                                                                   FILE NO. 28-1235
 PAGE     6 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FOSTER WHEELER AG              COM            H27178104      388,673      17,077      X     28-5284      17077
                                                             258,918      11,376      X   X 28-5284      10476                 900
                                                               7,397         325      X     28-13605       325
GARMIN LTD                     SHS            H2906T109      148,739       3,166      X     28-5284       2566                 600
                                                             175,517       3,736      X   X 28-5284        736                3000
NOBLE CORPORATION BAAR         NAMEN -AKT     H5833N103    2,593,936      69,227      X     28-5284      68492                 735
                                                           1,545,975      41,259      X   X 28-5284      31111               10148
                                                           3,421,273      91,307      X     28-13605     87657                3650
                                                             422,137      11,266      X   X 28-13605     11266
                                                               7,194         192      X   X 28-13663       192
TE CONNECTIVITY LTD            REG SHS        H84989104      944,328      25,696      X     28-5284      25065                 631
                                                             382,053      10,396      X   X 28-5284       7654                2742
                                                             233,546       6,355      X     28-13605      1545                4810
                                                              36,750       1,000      X   X 28-13605      1000
                                                              37,191       1,012      X   X 28-13663      1012
TRANSOCEAN LTD                 REG SHS        H8817H100    1,535,484      28,071      X     28-5284      26918                1153
                                                           1,556,543      28,456      X   X 28-5284      21523                6933
                                                           1,681,423      30,739      X     28-13605     30564                 175
                                                             193,419       3,536      X   X 28-13605      2536                1000
TYCO INTERNATIONAL LTD         SHS            H89128104    2,285,627      40,684      X     28-5284      40169                 515
                                                           1,857,423      33,062      X   X 28-5284      32523                 539
                                                             520,058       9,257      X     28-13605      4042                5215
                                                           1,172,758      20,875      X   X 28-13605     20875
                                                               5,281          94      X     28-13663                            94
                                                              63,877       1,137      X   X 28-13663      1137
UBS AG                         SHS NEW        H89231338      171,114      12,205      X     28-5284       5171                7034
                                                             152,453      10,874      X   X 28-5284        764               10110
                                                               5,075         362      X     28-13605       362
                                                              53,556       3,820      X   X 28-13605      3820
ADECOAGRO S A                  COM            L00849106        9,189         850      X     28-5284        850
ALTISOURCE PORTFOLIO SOLNS S   REG SHS        L0175J104      215,090       3,547      X     28-13605      3547
PACIFIC DRILLING SA LUXEMBOU   REG SHS        L7257P106        7,570         748      X     28-5284        748
               COLUMN TOTAL                               22,089,567






                                                                                                                   FILE NO. 28-1235
 PAGE     7 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CELLCOM ISRAEL LTD             SHS            M2196U109        3,717         300      X     28-5284        300
                                                              60,711       4,900      X   X 28-5284       4900
                                                               3,717         300      X   X 28-13605       300
CERAGON NETWORKS LTD           ORD            M22013102      263,794      27,797      X     28-5284                          27797
                                                              30,055       3,167      X   X 28-5284                           3167
                                                               9,841       1,037      X     28-13663                          1037
CHECK POINT SOFTWARE TECH LT   ORD            M22465104      200,075       3,134      X     28-5284       3086                  48
                                                              80,630       1,263      X   X 28-5284       1152                 111
                                                               6,384         100      X     28-13605       100
                                                               5,363          84      X   X 28-13605        84
                                                             145,619       2,281      X   X 28-13663      2281
CLICKSOFTWARE TECHNOLOGIES L   ORD            M25082104       64,262       5,068      X   X 28-5284                           5068
ELBIT SYS LTD                  ORD            M3760D101      240,875       6,250      X   X 28-5284       4500                1750
EZCHIP SEMICONDUCTOR LIMITED   ORD            M4146Y108       10,789         249      X     28-5284        249
                                                              89,000       2,054      X   X 28-5284       2054
GIVEN IMAGING                  ORD SHS        M52020100      131,110       7,000      X   X 28-5284       7000
ORBOTECH LTD                   ORD            M75253100       52,735       4,550      X   X 28-5284                           4550
SODASTREAM INTERNATIONAL LTD   USD SHS        M9068E105       13,472         400      X     28-5284        400
                                                              33,680       1,000      X     28-13605      1000
ASML HOLDING N V               NY REG SHS     N07059186    3,696,221      73,718      X     28-5284      10987               62731
                                                           2,192,422      43,726      X   X 28-5284        481               43245
                                                              45,327         904      X     28-13605       904
                                                              19,053         380      X   X 28-13605                           380
                                                             133,623       2,665      X     28-13663                          2665
CNH GLOBAL N V                 SHS NEW        N20935206        3,295          83      X   X 28-5284         83
CORE LABORATORIES N V          COM            N22717107    2,980,192      22,651      X     28-5284      22651
                                                             490,888       3,731      X   X 28-5284       3631                 100
                                                             305,506       2,322      X     28-13605      2022                 300
                                                             361,818       2,750      X   X 28-13605      2750
                                                              36,182         275      X     28-13663       150                 125
                                                              26,314         200      X   X 28-13663       200
               COLUMN TOTAL                               11,736,670






                                                                                                                   FILE NO. 28-1235
 PAGE     8 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LYONDELLBASELL INDUSTRIES N    SHS - A -      N53745100       13,095         300      X     28-5284        300
                                                              91,272       2,091      X   X 28-5284       1893                 198
NXP SEMICONDUCTORS N V         COM            N6596X109        6,653         250      X   X 28-5284                            250
ORTHOFIX INTL N V              COM            N6748L102      135,664       3,610      X   X 28-5284                           3610
QIAGEN NV                      REG SHS        N72482107    2,001,632     128,557      X     28-5284       9870              118687
                                                             942,328      60,522      X   X 28-5284      14662               45860
                                                              52,985       3,403      X     28-13663                          3403
YANDEX N V                     SHS CLASS A    N97284108        6,261         233      X     28-5284        100                 133
                                                               8,061         300      X   X 28-5284                            300
COPA HOLDINGS SA               CL A           P31076105       26,215         331      X   X 28-5284        331
                                                               2,534          32      X     28-13605        32
STEINER LEISURE LTD            ORD            P8744Y102        2,930          60      X     28-13605        60
ULTRAPETROL BAHAMAS LTD        COM            P94398107       20,000      10,000      X     28-5284      10000
ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103       42,232       1,435      X     28-5284       1435
                                                              29,253         994      X   X 28-5284        994
                                                               4,415         150      X   X 28-13605       150
AVAGO TECHNOLOGIES LTD         SHS            Y0486S104      246,368       6,322      X     28-5284       6322
                                                              57,754       1,482      X   X 28-5284       1482
                                                               3,507          90      X     28-13605        90
                                                               5,066         130      X   X 28-13605       130
CAPITAL PRODUCT PARTNERS L P   COM UNIT LP    Y11082107        4,866         600      X     28-5284        600
DIANA SHIPPING INC             COM            Y2066G104       24,613       2,750      X   X 28-5284       2750
DRYSHIPS INC                   SHS            Y2109Q101       11,832       3,400      X     28-5284       3400
                                                               1,740         500      X   X 28-5284        500
EAGLE BULK SHIPPING INC        COM            Y2187A101        5,820       3,000      X   X 28-5284       3000
EUROSEAS LTD                   COM NEW        Y23592200        2,508       1,100      X     28-5284       1100
               COLUMN TOTAL                                3,749,604






                                                                                                                   FILE NO. 28-1235
 PAGE     9 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FLEXTRONICS INTL LTD           ORD            Y2573F102       33,587       4,652      X     28-5284       3167                1485
                                                              48,822       6,762      X   X 28-5284       6762
                                                              60,395       8,365      X     28-13605      8365
                                                               4,621         640      X   X 28-13605       640
NAVIOS MARITIME PARTNERS L P   UNIT LPI       Y62267102        3,334         200      X     28-5284        200
                                                              88,351       5,300      X   X 28-5284       5300
                                                               5,001         300      X   X 28-13605       300
OCEAN RIG UDW INC              SHS            Y64354205          389          23      X     28-5284         23
                                                                  51           3      X   X 28-5284          3
SEASPAN CORP                   SHS            Y75638109       38,165       2,201      X     28-5284        825                1376
                                                              26,530       1,530      X   X 28-5284        125                1405
                                                              43,350       2,500      X   X 28-13605      2500
TEEKAY LNG PARTNERS L P        PRTNRSP UNITS  Y8564M105      763,620      19,500      X     28-5284      19500
                                                           1,043,614      26,650      X   X 28-5284      24650                2000
                                                               7,832         200      X   X 28-13605       200
TEEKAY CORPORATION             COM            Y8564W103      121,625       3,500      X   X 28-5284       3500
TEEKAY OFFSHORE PARTNERS L P   PARTNERSHIP UN Y8565J101       28,910       1,000      X     28-5284       1000
                                                             239,490       8,284      X   X 28-5284       6564                1720
AAON INC                       COM PAR $0.004 000360206       39,371       1,950      X   X 28-5284                           1950
AAR CORP                       COM            000361105       18,086         991      X     28-5284        721                 270
ABB LTD                        SPONSORED ADR  000375204    2,548,168     124,849      X     28-5284      67334               57515
                                                           2,694,018     131,995      X   X 28-5284      73880               58115
                                                             219,061      10,733      X     28-13605     10733
                                                              21,696       1,063      X   X 28-13605       563                 500
                                                              48,372       2,370      X     28-13663       800                1570
                                                              22,798       1,117      X   X 28-13663      1117
ACCO BRANDS CORP               COM            00081T108        3,624         292      X     28-5284        292
                                                               3,090         249      X   X 28-5284        199                  50
                                                                  99           8      X     28-13605         8
                                                               6,999         564      X   X 28-13605       564
ACNB CORP                      COM            000868109      105,879       7,302      X     28-5284       5871                1431
                                                              11,832         816      X   X 28-5284        211                 605
               COLUMN TOTAL                                8,300,780






                                                                                                                   FILE NO. 28-1235
 PAGE    10 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ABM INDS INC                   COM            000957100        8,019         330      X     28-5284                            330
                                                              12,758         525      X   X 28-5284        525
AFC ENTERPRISES INC            COM            00104Q107      262,693      15,489      X     28-13605     15489
AFLAC INC                      COM            001055102      897,725      19,520      X     28-5284      13556                5964
                                                           5,497,875     119,545      X   X 28-5284     118546                 999
                                                             836,328      18,185      X     28-13605     12826                5359
                                                             366,586       7,971      X   X 28-13605      3971                4000
                                                               5,059         110      X     28-13663                           110
AGCO CORP                      COM            001084102       78,557       1,664      X   X 28-5284       1664
AGIC EQUITY & CONV INCOME FD   COM            00119P102      232,982      13,111      X     28-5284      13111
AGIC INTL & PREM STRATEGY FD   COM            00119Q100       43,880       4,000      X   X 28-5284       4000
AGIC CONV & INCOME FD II       COM            001191105       17,520       2,000      X     28-5284       2000
AGL RES INC                    COM            001204106      100,678       2,567      X     28-5284       2416                 151
                                                             253,204       6,456      X   X 28-5284       4215                2241
                                                             132,015       3,366      X     28-13605      3362                   4
                                                             231,045       5,891      X   X 28-13605      5891
                                                              34,474         879      X   X 28-13663       879
A H BELO CORP                  COM CL A       001282102          166          34      X     28-5284         34
AES CORP                       COM            00130H105      153,298      11,729      X     28-5284       9787                1942
                                                             457,907      35,035      X   X 28-5284      33480                1555
                                                             148,527      11,364      X     28-13605      3881                7483
                                                               2,536         194      X     28-13663                           194
AK STL HLDG CORP               COM            001547108       13,260       1,754      X     28-5284       1391                 363
                                                               8,664       1,146      X   X 28-5284       1146
                                                               1,890         250      X   X 28-13605       250
ALPS ETF TR                    ALERIAN MLP    00162Q866      252,928      15,200      X   X 28-5284      15200
                                                              27,805       1,671      X   X 28-13605      1671
AMC NETWORKS INC               CL A           00164V103        2,722          61      X     28-5284         61
                                                             112,468       2,520      X   X 28-5284       2520
                                                               1,026          23      X   X 28-13605        23
               COLUMN TOTAL                               10,194,595






                                                                                                                   FILE NO. 28-1235
 PAGE    11 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMN HEALTHCARE SERVICES INC    COM            001744101       16,362       2,700      X   X 28-5284                           2700
AOL INC                        COM            00184X105        6,621         349      X     28-5284        349
                                                             125,468       6,614      X   X 28-5284       4814                1800
                                                                  57           3      X   X 28-13605         3
AT&T INC                       COM            00206R102  151,092,458   4,838,055      X     28-5284    4778822               59233
                                                         110,767,876   3,546,842      X   X 28-5284    3422458      2948    121436
                                                          45,364,667   1,452,599      X     28-13605   1304752              147847
                                                          18,541,626     593,712      X   X 28-13605    575969       188     17555
                                                             797,052      25,522      X     28-13663     23878                1644
                                                           1,926,516      61,688      X   X 28-13663     60812                 876
ATMI INC                       COM            00207R101        4,660         200      X     28-5284                            200
                                                             164,964       7,080      X   X 28-5284                           7080
AU OPTRONICS CORP              SPONSORED ADR  002255107       22,923       5,027      X   X 28-5284       5027
AVI BIOPHARMA INC              COM            002346104       15,400      10,000      X     28-5284      10000
AVX CORP NEW                   COM            002444107       18,564       1,400      X   X 28-5284                           1400
AASTROM BIOSCIENCES INC        COM NEW        00253U305          505         250      X     28-5284        250
AARONS INC                     COM PAR $0.50  002535300       41,647       1,608      X     28-5284       1608
                                                              77,855       3,006      X   X 28-5284       1091                1915
                                                           2,011,886      77,679      X     28-13605     62545               15134
                                                              11,059         427      X   X 28-13605       427
ABBOTT LABS                    COM            002824100  133,931,827   2,185,215      X     28-5284    2160408               24807
                                                         114,404,711   1,866,613      X   X 28-5284    1798505               68108
                                                           9,704,352     158,335      X     28-13605    138474               19861
                                                           7,767,772     126,738      X   X 28-13605    102045        32     24661
                                                           1,005,891      16,412      X     28-13663     15790                 622
                                                           2,685,483      43,816      X   X 28-13663     43339                 477
ABERCROMBIE & FITCH CO         CL A           002896207       88,951       1,793      X     28-5284       1262                 531
                                                             101,304       2,042      X   X 28-5284       1219                 823
                                                              90,241       1,819      X     28-13605       855                 964
                                                              12,403         250      X   X 28-13605       250
ABERDEEN ASIA PACIFIC INCOM    COM            003009107      199,104      27,312      X     28-5284      27312
                                                             199,746      27,400      X   X 28-5284      27400
               COLUMN TOTAL                              601,199,951






                                                                                                                   FILE NO. 28-1235
 PAGE    12 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ABERDEEN ISRAEL FUND INC       COM            00301L109        5,596         400      X     28-5284        400
                                                              45,468       3,250      X     28-13605      3250
ABERDEEN CHILE FD INC          COM            00301W105        4,096         213      X     28-5284        213
                                                             115,322       5,997      X   X 28-5284       5997
                                                               2,115         110      X   X 28-13605       110
                                                              40,325       2,097      X   X 28-13663      2097
ABERDEEN AUSTRALIA EQTY FD I   COM            003011103       21,500       2,000      X     28-5284       2000
ABIOMED INC                    COM            003654100        8,876         400      X     28-5284        400
                                                              55,475       2,500      X   X 28-5284       2500
ACACIA RESH CORP               ACACIA TCH COM 003881307       17,239         413      X     28-5284        413
                                                               3,965          95      X   X 28-5284         95
ACETO CORP                     COM            004446100       76,869       8,100      X   X 28-5284                           8100
                                                             235,428      24,808      X     28-13605     24808
ACI WORLDWIDE INC              COM            004498101      230,224       5,717      X     28-13605      5717
ACME PACKET INC                COM            004764106      429,092      15,592      X     28-5284        719               14873
                                                              59,608       2,166      X   X 28-5284                           2166
                                                              14,916         542      X     28-13663                           542
ACME UTD CORP                  COM            004816104      596,897      56,205      X     28-5284                          56205
ACTIVISION BLIZZARD INC        COM            00507V109       49,408       3,854      X   X 28-5284       3854
                                                               2,115         165      X   X 28-13663                           165
ACTUANT CORP                   SDCV  2.672%11 00508XAB0      146,125       1,000      X     28-13605      1000
ACTUANT CORP                   CL A NEW       00508X203      288,682       9,958      X     28-5284       2749                7209
                                                              60,299       2,080      X   X 28-5284                           2080
                                                           2,099,891      72,435      X     28-13605     64402                8033
                                                             114,597       3,953      X   X 28-13605      3953
ACUITY BRANDS INC              COM            00508Y102      397,714       6,330      X     28-5284       6330
                                                              91,104       1,450      X   X 28-5284                           1450
                                                               6,283         100      X   X 28-13605       100
ADAMS EXPRESS CO               COM            006212104       61,356       5,588      X     28-5284       5588
                                                              18,666       1,700      X   X 28-5284       1700
               COLUMN TOTAL                                5,299,251






                                                                                                                   FILE NO. 28-1235
 PAGE    13 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADAMS GOLF INC                 COM NEW        006228209       36,448       3,400      X     28-13605      3400
ADMINISTRADORA FONDOS PENSIO   SPONSORED ADR  00709P108        7,900         100      X     28-5284        100
                                                             253,669       3,211      X     28-13605      3211
ADOBE SYS INC                  COM            00724F101      371,989      10,842      X     28-5284      10126                 716
                                                             516,160      15,044      X   X 28-5284       7375                7669
                                                             420,709      12,262      X     28-13605      6627                5635
                                                             195,327       5,693      X   X 28-13605      5693
                                                               1,578          46      X     28-13663                            46
ADTRAN INC                     COM            00738A106      470,813      15,095      X   X 28-5284       1450               13645
                                                             210,189       6,739      X     28-13605      5739                1000
                                                               9,357         300      X   X 28-13605       300
ADVANCE AMER CASH ADVANCE CT   COM            00739W107        4,196         400      X     28-5284        400
                                                             291,706      27,808      X     28-13605     27808
ADVANCE AUTO PARTS INC         COM            00751Y106        1,771          20      X     28-5284         20
                                                              56,065         633      X   X 28-5284        633
ADVOCAT INC                    COM            007586100        6,475       1,250      X     28-5284       1250
ADVISORY BRD CO                COM            00762W107      650,559       7,341      X     28-5284        444                6897
                                                              88,620       1,000      X   X 28-5284                           1000
                                                              22,155         250      X     28-13663                           250
ADVENT CLAY CONV SEC INC FD    COM            007639107        6,990       1,016      X     28-5284       1016
ADVENT CLAYMORE CV SECS & IN   COM            00764C109       22,834       1,400      X   X 28-13605      1400
ADVENTRX PHARMACEUTICALS INC   COM NEW        00764X202          414         600      X   X 28-5284        600
ADVANTAGE OIL & GAS LTD        COM            00765F101        5,025       1,500      X     28-5284       1500
AECOM TECHNOLOGY CORP DELAWA   COM            00766T100      108,964       4,871      X     28-5284       4871
                                                              47,670       2,131      X   X 28-5284       1956                 175
                                                               5,033         225      X     28-13605       225
                                                               4,474         200      X   X 28-13605       200
AEGION CORP                    COM            00770F104       70,090       3,931      X     28-13605      3931
AEROPOSTALE                    COM            007865108       23,782       1,100      X   X 28-5284                           1100
               COLUMN TOTAL                                3,910,962






                                                                                                                   FILE NO. 28-1235
 PAGE    14 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ADVANCED MICRO DEVICES INC     COM            007903107        6,536         815      X     28-5284        526                 289
                                                             277,275      34,573      X   X 28-5284      34573
                                                              75,276       9,386      X     28-13605      3184                6202
AEGON N V                      NY REGISTRY SH 007924103      259,107      46,602      X     28-5284      46602
                                                              47,683       8,576      X   X 28-5284       8576
                                                              12,571       2,261      X     28-13605      2261
                                                             253,592      45,610      X     28-13663     45610
ADVANCED ENERGY INDS           COM            007973100        3,805         290      X     28-5284                            290
                                                               1,955         149      X     28-13605       149
ADVENT SOFTWARE INC            COM            007974108      272,026      10,626      X     28-13605     10626
AEROVIRONMENT INC              COM            008073108      435,368      16,239      X     28-5284                          16239
                                                             154,318       5,756      X   X 28-5284       1500                4256
                                                               5,362         200      X   X 28-13605                           200
                                                              15,872         592      X     28-13663                           592
AES TR III                     PFD CV 6.75%   00808N202      142,301       2,850      X     28-5284       2850
                                                              80,437       1,611      X   X 28-5284       1611
AETNA INC NEW                  COM            00817Y108    2,887,962      57,575      X     28-5284      33683               23892
                                                           3,515,714      70,090      X   X 28-5284      53382               16708
                                                             520,209      10,371      X     28-13605      6340                4031
                                                             350,418       6,986      X   X 28-13605      6986
                                                             125,450       2,501      X     28-13663                          2501
AFFILIATED MANAGERS GROUP      COM            008252108      101,300         906      X     28-5284        906
                                                             374,564       3,350      X   X 28-5284       3350
                                                             252,691       2,260      X     28-13605      2260
                                                             126,345       1,130      X   X 28-13605      1130
AFFYMETRIX INC                 COM            00826T108       42,700      10,000      X   X 28-5284      10000
AGILENT TECHNOLOGIES INC       COM            00846U101    2,419,163      54,351      X     28-5284      36351               18000
                                                           3,722,638      83,636      X   X 28-5284      69157               14479
                                                             298,840       6,714      X     28-13605      2882                3832
                                                             142,610       3,204      X   X 28-13605      2752                 452
                                                              39,614         890      X     28-13663                           890
AGILYSYS INC                   COM            00847J105       36,302       4,038      X     28-5284       4038
                                                              71,920       8,000      X   X 28-5284       8000
               COLUMN TOTAL                               17,071,924






                                                                                                                   FILE NO. 28-1235
 PAGE    15 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AGNICO EAGLE MINES LTD         COM            008474108       67,094       2,010      X     28-5284       2010
                                                              34,548       1,035      X   X 28-5284       1035
                                                               3,338         100      X     28-13605       100
                                                               8,345         250      X   X 28-13605       250
AGRIUM INC                     COM            008916108       19,001         220      X     28-5284        220
                                                             511,829       5,926      X   X 28-5284       3521                2405
AIR METHODS CORP               COM PAR $.06   009128307        3,490          40      X     28-13605        40
AIR PRODS & CHEMS INC          COM            009158106   22,567,010     245,828      X     28-5284     241482                4346
                                                          16,416,319     178,827      X   X 28-5284     171439                7388
                                                           2,228,170      24,272      X     28-13605     21896                2376
                                                           3,357,952      36,579      X   X 28-13605     32879                3700
                                                               2,938          32      X     28-13663                            32
                                                             145,962       1,590      X   X 28-13663      1590
AIRGAS INC                     COM            009363102      809,093       9,094      X     28-5284       7945                1149
                                                             449,743       5,055      X   X 28-5284       4978                  77
                                                              86,746         975      X     28-13605       207                 768
                                                               2,313          26      X     28-13663                            26
AKAMAI TECHNOLOGIES INC        COM            00971T101      319,804       8,714      X     28-5284       6985                1729
                                                             190,033       5,178      X   X 28-5284       5121                  57
                                                             517,727      14,107      X     28-13605     12087                2020
                                                               2,386          65      X   X 28-13605        65
                                                               4,514         123      X     28-13663                           123
ALASKA AIR GROUP INC           COM            011659109       21,492         600      X   X 28-5284        600
                                                             317,938       8,876      X     28-13605      8876
ALASKA COMMUNICATIONS SYS GR   COM            01167P101        1,232         400      X     28-5284        400
                                                                 308         100      X   X 28-5284        100
                                                               3,080       1,000      X   X 28-13605      1000
ALBEMARLE CORP                 COM            012653101       40,525         634      X     28-5284        634
                                                              48,643         761      X   X 28-5284        761
                                                             102,272       1,600      X   X 28-13605      1600
ALCOA INC                      NOTE  5.250% 3 013817AT8      666,500       4,000      X   X 28-5284       4000
               COLUMN TOTAL                               48,950,345






                                                                                                                   FILE NO. 28-1235
 PAGE    16 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALCOA INC                      COM            013817101    1,958,509     195,460      X     28-5284     192245                3215
                                                           1,795,444     179,186      X   X 28-5284     171470                7716
                                                             234,278      23,381      X     28-13605     11596               11785
                                                              30,812       3,075      X   X 28-13605      3075
                                                               5,952         594      X     28-13663                           594
ALCATEL-LUCENT                 SPONSORED ADR  013904305        3,391       1,494      X     28-5284       1494
                                                              16,144       7,112      X   X 28-5284       7112
                                                                 356         157      X     28-13605       157
                                                                 806         355      X   X 28-13605       277                  78
ALEXANDER & BALDWIN INC        COM            014482103        2,955          61      X     28-5284         61
                                                             239,682       4,947      X   X 28-5284       4947
                                                               4,845         100      X   X 28-13605       100
ALERE INC                      COM            01449J105    1,594,803      61,315      X     28-5284      36940               24375
                                                             587,046      22,570      X   X 28-5284       3280               19290
                                                              98,578       3,790      X     28-13663                          3790
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109       14,992         205      X     28-5284        205
                                                              12,286         168      X   X 28-5284        168
                                                             198,036       2,708      X     28-13605      2708
ALEXION PHARMACEUTICALS INC    COM            015351109    1,430,601      15,406      X     28-5284       5296               10110
                                                           1,616,043      17,403      X   X 28-5284       1508               15895
                                                              67,788         730      X     28-13605       730
                                                              40,116         432      X   X 28-13605       117                 315
                                                              90,539         975      X     28-13663                           975
ALIGN TECHNOLOGY INC           COM            016255101      233,018       8,458      X     28-5284       8458
ALIMERA SCIENCES INC           COM            016259103       50,337      14,805      X     28-5284      14805
ALLEGHANY CORP DEL             COM            017175100       22,379          68      X     28-5284         63                   5
                                                          40,069,571     121,755      X   X 28-5284      83491               38264
                                                              13,164          40      X     28-13605        26                  14
                                                               5,924          18      X   X 28-13605        18
ALLEGHENY TECHNOLOGIES INC     NOTE  4.250% 6 01741RAD4      498,500       4,000      X   X 28-5284       4000
               COLUMN TOTAL                               50,936,895






                                                                                                                   FILE NO. 28-1235
 PAGE    17 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALLEGHENY TECHNOLOGIES INC     COM            01741R102      723,480      17,573      X     28-5284      17045                 528
                                                           1,366,679      33,196      X   X 28-5284      32981                 215
                                                              67,231       1,633      X     28-13605       473                1160
                                                               8,852         215      X   X 28-13605       215
ALLERGAN INC                   COM            018490102   55,308,651     579,573      X     28-5284     564671               14902
                                                          19,855,070     208,059      X   X 28-5284     187786               20273
                                                          32,754,439     343,230      X     28-13605    333003               10227
                                                           8,088,647      84,760      X   X 28-13605     81284        72      3404
                                                             615,714       6,452      X     28-13663      4863                1589
                                                             341,544       3,579      X   X 28-13663      3579
ALLETE INC                     COM NEW        018522300       65,803       1,586      X     28-5284       1586
                                                              35,930         866      X   X 28-5284        866
ALLIANCE DATA SYSTEMS CORP     COM            018581108      274,845       2,182      X     28-5284       1742                 440
                                                              53,785         427      X   X 28-5284        427
                                                              62,980         500      X     28-13605       500
                                                               3,527          28      X     28-13663                            28
ALLIANCE HOLDINGS GP LP        COM UNITS LP   01861G100      441,162      10,130      X   X 28-5284       9070                1060
ALLIANCE RES PARTNER L P       UT LTD PART    01877R108       42,972         715      X     28-5284         50                 665
                                                             168,160       2,798      X   X 28-5284       1000                1798
                                                              90,931       1,513      X     28-13605      1513
ALLIANCEBERNSTEIN GBL HGH IN   COM            01879R106      191,790      12,769      X     28-5284      12769
                                                             430,729      28,677      X   X 28-5284      28677
ALLIANT ENERGY CORP            COM            018802108      131,736       3,041      X     28-5284       3041
                                                             188,572       4,353      X   X 28-5284       4353
                                                              12,996         300      X     28-13605       300
                                                              58,482       1,350      X   X 28-13605      1350
ALLIANT TECHSYSTEMS INC        COM            018804104       24,960         498      X     28-5284        498
                                                             150,410       3,001      X   X 28-5284       3001
                                                               7,518         150      X     28-13605       150
ALLIANCEBERNSTEIN INCOME FUN   COM            01881E101      107,289      13,100      X     28-5284      13100
                                                              69,615       8,500      X   X 28-5284       8500
ALLIANCEBERNSTEIN HOLDING LP   UNIT LTD PARTN 01881G106      230,248      14,750      X   X 28-5284      12190                2560
                                                               4,683         300      X     28-13605       300
               COLUMN TOTAL                              121,979,430






                                                                                                                   FILE NO. 28-1235
 PAGE    18 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALLSCRIPTS HEALTHCARE SOLUTN   COM            01988P108       29,133       1,755      X     28-5284       1755
                                                             154,861       9,329      X   X 28-5284       9329
                                                              35,806       2,157      X   X 28-13605      2157
ALLSTATE CORP                  COM            020002101    4,052,222     123,093      X     28-5284     120942                2151
                                                           8,934,718     271,407      X   X 28-5284     264524                6883
                                                           3,986,777     121,105      X     28-13605    115449                5656
                                                             593,317      18,023      X   X 28-13605     16233                1790
                                                               8,164         248      X     28-13663                           248
                                                             157,621       4,788      X   X 28-13663      4788
ALMOST FAMILY INC              COM            020409108      281,818      10,835      X     28-13663     10835
ALPHA NATURAL RESOURCES INC    COM            02076X102      125,498       8,251      X     28-5284       7900                 351
                                                             153,469      10,090      X   X 28-5284       4468                5622
                                                              46,132       3,033      X     28-13605       644                2389
                                                              14,754         970      X   X 28-13605       970
                                                                 730          48      X     28-13663                            48
ALPINE GLOBAL PREMIER PPTYS    COM SBI        02083A103       16,140       2,483      X     28-5284       2483
                                                               8,483       1,305      X     28-13605      1305
ALPINE TOTAL DYNAMIC DIVID F   COM SBI        021060108      124,577      26,282      X     28-5284      26282
                                                                  62          13      X   X 28-5284                             13
ALTAIR NANOTECHNOLOGIES INC    COM NEW        021373204           60         100      X   X 28-5284        100
ALTERA CORP                    COM            021441100    3,480,228      87,399      X     28-5284      36000               51399
                                                           2,260,900      56,778      X   X 28-5284       2898               53880
                                                             184,964       4,645      X     28-13605      1084                3561
                                                               8,521         214      X   X 28-13605       214
                                                             257,396       6,464      X     28-13663                          6464
ALTRA HOLDINGS INC             COM            02208R106       51,840       2,700      X   X 28-5284                           2700
                                                             165,331       8,611      X     28-13605      8611
ALTRIA GROUP INC               COM            02209S103   68,929,808   2,232,906      X     28-5284    2205064               27842
                                                          75,906,243   2,458,900      X   X 28-5284    2415303               43597
                                                           5,996,683     194,256      X     28-13605    169691               24565
                                                           3,226,718     104,526      X   X 28-13605    101526                3000
                                                             130,920       4,241      X     28-13663      3737                 504
                                                             341,175      11,052      X   X 28-13663     10142                 910
               COLUMN TOTAL                              179,665,069






                                                                                                                   FILE NO. 28-1235
 PAGE    19 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ALUMINA LTD                    SPONSORED ADR  022205108       51,493      10,018      X     28-5284                          10018
                                                              75,702      14,728      X   X 28-5284                          14728
                                                               1,013         197      X   X 28-13605       197
AMAZON COM INC                 COM            023135106    8,744,787      43,182      X     28-5284      34478                8704
                                                           6,330,665      31,261      X   X 28-5284      16518               14743
                                                           1,737,536       8,580      X     28-13605      4396                4184
                                                             650,867       3,214      X   X 28-13605      2999                 215
                                                             295,867       1,461      X     28-13663       715                 746
                                                              34,427         170      X   X 28-13663       170
AMCOL INTL CORP                COM            02341W103       26,600         902      X     28-5284        902
                                                              19,169         650      X     28-13605       650
AMEDISYS INC                   COM            023436108       10,932         756      X     28-5284        756
                                                               2,603         180      X   X 28-13605       180
AMERCO                         COM            023586100       43,787         415      X     28-5284                            415
                                                             215,029       2,038      X   X 28-5284                           2038
                                                              88,734         841      X     28-13605       841
AMEREN CORP                    COM            023608102      437,354      13,424      X     28-5284       6743                6681
                                                             580,967      17,832      X   X 28-5284      17215                 617
                                                             252,495       7,750      X     28-13605      4902                2848
                                                              58,644       1,800      X   X 28-13605      1800
                                                               3,095          95      X     28-13663                            95
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105      562,027      22,635      X     28-5284      22635
                                                             150,222       6,050      X   X 28-5284       6050
                                                             148,285       5,972      X     28-13605      5672                 300
                                                              16,040         646      X   X 28-13605       646
                                                               2,483         100      X     28-13663       100
                                                              39,728       1,600      X   X 28-13663      1600
AMERICA MOVIL SAB DE CV        SPON ADR A SHS 02364W204       69,857       2,810      X     28-5284       2810
AMERICAN ASSETS TR INC         COM            024013104       27,109       1,189      X     28-5284       1189
AMERICAN AXLE & MFG HLDGS IN   COM            024061103       23,420       2,000      X     28-5284       2000
                                                           3,168,457     270,577      X     28-13605    223412               47165
                                                              15,879       1,356      X   X 28-13605      1356
               COLUMN TOTAL                               23,885,273






                                                                                                                   FILE NO. 28-1235
 PAGE    20 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERICAN CAMPUS CMNTYS INC     COM            024835100       24,596         550      X     28-5284        550
                                                             454,489      10,163      X     28-13605     10163
                                                               4,472         100      X   X 28-13605       100
AMERICAN CAPITAL AGENCY CORP   COM            02503X105       98,014       3,318      X     28-5284       2598                 720
                                                             577,507      19,550      X   X 28-5284      19550
                                                               8,773         297      X   X 28-13605       297
AMERICAN CAP LTD               COM            02503Y103       16,509       1,902      X     28-5284       1900                   2
                                                              39,928       4,600      X   X 28-5284       4600
                                                               8,680       1,000      X     28-13605      1000
AMERICAN CAP MTG INVT CORP     COM            02504A104        4,354         200      X   X 28-5284        200
AMERICAN EAGLE OUTFITTERS NE   COM            02553E106       75,017       4,364      X     28-5284       3423                 941
                                                              56,882       3,309      X   X 28-5284        709                2600
AMERICAN ELEC PWR INC          COM            025537101    8,624,328     223,544      X     28-5284     217191                6353
                                                           6,848,915     177,525      X   X 28-5284     167232               10293
                                                             879,547      22,798      X     28-13605     17203                5595
                                                             496,447      12,868      X   X 28-13605     11882                 986
                                                              75,424       1,955      X     28-13663      1670                 285
                                                              59,683       1,547      X   X 28-13663      1547
AMERICAN EQTY INVT LIFE HLD    COM            025676206      478,990      37,509      X     28-13605     37509
AMERICAN EXPRESS CO            COM            025816109   59,437,611   1,027,266      X     28-5284     988314               38952
                                                          41,742,576     721,441      X   X 28-5284     636855               84586
                                                          33,241,843     574,522      X     28-13605    554804               19718
                                                           7,486,216     129,385      X   X 28-13605    124751       139      4495
                                                             561,126       9,698      X     28-13663      6808                2890
                                                              23,144         400      X   X 28-13663       400
AMERICAN FINL GROUP INC OHIO   COM            025932104       52,546       1,362      X     28-5284       1362
                                                             136,303       3,533      X   X 28-5284       3533
                                                             404,010      10,472      X     28-13605     10472
AMERICAN GREETINGS CORP        CL A           026375105       61,360       4,000      X     28-5284       4000
AMERICAN INTL GROUP INC        *W EXP 01/19/2 026874156       12,449       1,170      X     28-5284       1170
                                                               4,990         469      X   X 28-5284        469
                                                               1,000          94      X     28-13605        94
                                                                 181          17      X   X 28-13605        17
               COLUMN TOTAL                              161,997,910






                                                                                                                   FILE NO. 28-1235
 PAGE    21 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERICAN INTL GROUP INC        COM NEW        026874784      104,884       3,402      X     28-5284       2370                1032
                                                              88,143       2,859      X   X 28-5284       2584                 275
                                                             248,644       8,065      X     28-13605      1866                6199
                                                                 462          15      X   X 28-13605        15
                                                               3,730         121      X     28-13663                           121
AMERICAN NATL INS CO           COM            028591105       23,206         320      X     28-5284                            320
AMERICAN PUBLIC EDUCATION IN   COM            02913V103        3,078          81      X     28-5284         81
                                                              66,500       1,750      X   X 28-5284                           1750
                                                              17,100         450      X     28-13605                           450
                                                              68,514       1,803      X   X 28-13605      1803
AMERICAN SCIENCE & ENGR INC    COM            029429107       46,935         700      X   X 28-5284        700
AMERICAN STS WTR CO            COM            029899101       76,617       2,120      X     28-5284       2000                 120
                                                              10,842         300      X     28-13605       300
                                                              43,368       1,200      X   X 28-13605      1200
AMERICAN SUPERCONDUCTOR CORP   COM            030111108       41,200      10,000      X   X 28-13605     10000
AMERICAN TOWER CORP NEW        COM            03027X100   10,027,994     159,124      X     28-5284     139299               19825
                                                           5,047,965      80,101      X   X 28-5284      53967               26134
                                                             729,709      11,579      X     28-13605     11341                 238
                                                             591,758       9,390      X   X 28-13605      7590                1800
                                                             189,060       3,000      X     28-13663      1450                1550
                                                               4,727          75      X   X 28-13663        75
AMERICAN VANGUARD CORP         COM            030371108      153,348       7,070      X     28-13605      7070
AMERICAN WTR WKS CO INC NEW    COM            030420103    7,862,121     231,035      X     28-5284     227895                3140
                                                           4,997,918     146,868      X   X 28-5284     142668                4200
                                                           7,281,910     213,985      X     28-13605    127373               86612
                                                             845,986      24,860      X   X 28-13605     24786        74
                                                             143,436       4,215      X     28-13663      1830                2385
                                                             244,165       7,175      X   X 28-13663      7175
AMERICAN WOODMARK CORP         COM            030506109          450          25      X   X 28-5284                             25
               COLUMN TOTAL                               38,963,770






                                                                                                                   FILE NO. 28-1235
 PAGE    22 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMERISOURCEBERGEN CORP         COM            03073E105   21,201,601     534,584      X     28-5284     533121                1463
                                                           9,060,843     228,463      X   X 28-5284     216016               12447
                                                           5,228,854     131,842      X     28-13605     77369               54473
                                                             458,430      11,559      X   X 28-13605     11513        46
                                                             266,595       6,722      X     28-13663      6698                  24
                                                              91,615       2,310      X   X 28-13663      2310
AMERIGROUP CORP                COM            03073T102      537,096       7,983      X     28-5284        690                7293
                                                              87,666       1,303      X   X 28-5284        240                1063
                                                             145,459       2,162      X     28-13605      2162
                                                               4,373          65      X   X 28-13605        65
                                                              17,964         267      X     28-13663                           267
AMERISERV FINL INC             COM            03074A102        2,924       1,069      X     28-5284       1069
AMERIPRISE FINL INC            COM            03076C106   18,212,130     318,784      X     28-5284     317443                1341
                                                           9,556,935     167,284      X   X 28-5284     157170               10114
                                                             607,692      10,637      X     28-13605      8182                2455
                                                             196,870       3,446      X   X 28-13605      3446
                                                             109,404       1,915      X     28-13663      1759                 156
                                                              22,852         400      X   X 28-13663       400
AMERIGAS PARTNERS L P          UNIT L P INT   030975106      675,347      16,667      X     28-5284      16667
                                                              89,144       2,200      X   X 28-5284       2200
                                                             168,968       4,170      X     28-13605      4170
AMETEK INC NEW                 COM            031100100      352,571       7,268      X     28-5284       7268
                                                           7,466,659     153,920      X   X 28-5284     153920
                                                             278,933       5,750      X     28-13605      5750
                                                           1,406,790      29,000      X   X 28-13605     29000
AMGEN INC                      NOTE  0.375% 2 031162AQ3      818,000       8,000      X     28-5284       8000
                                                             613,500       6,000      X   X 28-5284       6000
                                                             511,250       5,000      X     28-13605      5000
AMGEN INC                      COM            031162100   20,820,910     306,325      X     28-5284     300776                5549
                                                          15,889,959     233,779      X   X 28-5284     215640               18139
                                                           1,849,124      27,205      X     28-13605     17879                9326
                                                           1,010,918      14,873      X   X 28-13605     13973                 900
                                                             151,097       2,223      X     28-13663      1880                 343
                                                             163,128       2,400      X   X 28-13663      2400
AMKOR TECHNOLOGY INC           COM            031652100        6,145       1,000      X     28-5284       1000
               COLUMN TOTAL                              118,081,746






                                                                                                                   FILE NO. 28-1235
 PAGE    23 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AMPAL AMERN ISRAEL CORP        CL A           032015109            5          22      X     28-5284                             22
AMPCO-PITTSBURGH CORP          COM            032037103       20,130       1,000      X   X 28-5284                           1000
AMPHENOL CORP NEW              CL A           032095101    5,693,870      95,263      X     28-5284      93537                1726
                                                           5,005,797      83,751      X   X 28-5284      83303                 448
                                                           3,643,400      60,957      X     28-13605     58456                2501
                                                             488,680       8,176      X   X 28-13605      8144        32
                                                               8,188         137      X     28-13663                           137
                                                              11,954         200      X   X 28-13663       200
AMSURG CORP                    COM            03232P405       20,985         750      X     28-5284        750
                                                             366,286      13,091      X     28-13605     13091
AMYLIN PHARMACEUTICALS INC     COM            032346108        9,984         400      X     28-5284        400
                                                               2,496         100      X   X 28-5284        100
                                                              12,480         500      X     28-13605       500
AMTRUST FINANCIAL SERVICES I   COM            032359309    3,991,653     148,499      X     28-13605    126325               22174
                                                             219,583       8,169      X   X 28-13605      8169
AMYRIS INC                     COM            03236M101       11,391       2,199      X     28-5284       2199
ANADARKO PETE CORP             COM            032511107    3,618,760      46,193      X     28-5284      43933                2260
                                                           4,393,621      56,084      X   X 28-5284      52729                3355
                                                           1,898,413      24,233      X     28-13605     18412                5821
                                                           1,536,639      19,615      X   X 28-13605     19615
                                                               8,147         104      X     28-13663                           104
                                                              96,437       1,231      X   X 28-13663      1231
ANALOG DEVICES INC             COM            032654105      527,260      13,051      X     28-5284       7592                5459
                                                             380,568       9,420      X   X 28-5284       8950                 470
                                                             180,669       4,472      X     28-13605      1133                3339
                                                              57,570       1,425      X   X 28-13605      1425
                                                               1,374          34      X     28-13663                            34
ANALOGIC CORP                  COM PAR $0.05  032657207      592,866       8,778      X     28-5284        332                8446
                                                              81,994       1,214      X   X 28-5284                           1214
                                                              20,532         304      X     28-13663                           304
ANCESTRY COM INC               COM            032803108       21,558         948      X     28-5284        948
ANDERSONS INC                  COM            034164103       21,911         450      X     28-5284        450
               COLUMN TOTAL                               32,945,201






                                                                                                                   FILE NO. 28-1235
 PAGE    24 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206      123,682       3,350      X     28-5284        613                2737
                                                             163,666       4,433      X   X 28-5284        172                4261
                                                              18,460         500      X   X 28-13605       500
ANHEUSER BUSCH INBEV SA/NV     SPONSORED ADR  03524A108      101,735       1,399      X     28-5284        809                 590
                                                           1,701,066      23,392      X   X 28-5284      18500                4892
                                                               1,818          25      X     28-13605        25
ANIKA THERAPEUTICS INC         COM            035255108      190,608      15,200      X     28-5284      15200
                                                              41,382       3,300      X   X 28-5284       3300
ANIXTER INTL INC               NOTE  1.000% 2 035290AJ4      250,500       2,000      X     28-13605      2000
ANIXTER INTL INC               COM            035290105       45,694         630      X     28-5284                            630
                                                             165,876       2,287      X     28-13605      2287
ANN INC                        COM            035623107       48,688       1,700      X   X 28-5284                           1700
ANNALY CAP MGMT INC            COM            035710409    1,037,539      65,584      X     28-5284      64384                1200
                                                           3,127,013     197,662      X   X 28-5284     197662
                                                              35,595       2,250      X     28-13605      2250
                                                           1,558,871      98,538      X   X 28-13605     98538
ANSYS INC                      COM            03662Q105      328,546       5,053      X     28-5284       5053
                                                           1,259,893      19,377      X   X 28-5284       5086               14291
                                                             133,811       2,058      X     28-13605      1458                 600
                                                             486,480       7,482      X   X 28-13605      6832                 650
ANTARES PHARMA INC             COM            036642106        9,690       3,000      X     28-5284       3000
ANWORTH MORTGAGE ASSET CP      COM            037347101        6,580       1,000      X   X 28-5284       1000
AON CORP                       COM            037389103    3,585,305      73,080      X     28-5284      49241               23839
                                                           4,514,894      92,028      X   X 28-5284      22272               69756
                                                             228,816       4,664      X     28-13605       990                3674
                                                              12,265         250      X   X 28-13605       250
                                                             258,350       5,266      X     28-13663                          5266
A123 SYS INC                   COM            03739T108           56          50      X     28-13605        50
               COLUMN TOTAL                               19,436,879






                                                                                                                   FILE NO. 28-1235
 PAGE    25 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
APACHE CORP                    COM            037411105   29,605,393     294,757      X     28-5284     283008               11749
                                                          16,192,334     161,214      X   X 28-5284     141355               19859
                                                          12,113,566     120,605      X     28-13605    115855                4750
                                                           2,601,095      25,897      X   X 28-13605     24861                1036
                                                             554,127       5,517      X     28-13663      3919                1598
                                                              54,740         545      X   X 28-13663       545
APACHE CORP                    PFD CONV SER D 037411808        3,891          70      X     28-5284         70
APARTMENT INVT & MGMT CO       CL A           03748R101       73,367       2,778      X     28-5284       2288                 490
                                                              14,974         567      X   X 28-5284        413                 154
                                                              45,980       1,741      X     28-13605       369                1372
APOGEE ENTERPRISES INC         COM            037598109        2,590         200      X     28-5284                            200
APOLLO GROUP INC               CL A           037604105       51,971       1,345      X     28-5284       1265                  80
                                                              56,801       1,470      X   X 28-5284       1360                 110
                                                              66,847       1,730      X     28-13605       396                1334
                                                              11,592         300      X   X 28-13605       200                 100
                                                               5,796         150      X   X 28-13663       150
APOLLO INVT CORP               COM            03761U106      150,570      21,000      X     28-5284      21000
                                                              23,216       3,238      X   X 28-5284       3238
APOLLO GLOBAL MGMT LLC         CL A SHS       037612306       80,468       5,635      X     28-5284       5635
                                                              55,221       3,867      X   X 28-5284       3867
APPLE INC                      COM            037833100  322,602,866     538,075      X     28-5284     517274               20801
                                                         170,768,028     284,827      X   X 28-5284     265613               19214
                                                         143,233,694     238,902      X     28-13605    225177               13725
                                                          40,874,321      68,175      X   X 28-13605     65969        62      2144
                                                           3,796,950       6,333      X     28-13663      5247                1086
                                                           3,241,167       5,406      X   X 28-13663      5320                  86
APPLIED INDL TECHNOLOGIES IN   COM            03820C105      271,129       6,592      X     28-5284       6300                 292
                                                             608,477      14,794      X     28-13605     14794
                                                             222,719       5,415      X   X 28-13605      5415
APPLIED MICRO CIRCUITS CORP    COM NEW        03822W406          278          40      X     28-5284         40
                                                              19,432       2,800      X   X 28-5284                           2800
               COLUMN TOTAL                              747,403,600






                                                                                                                   FILE NO. 28-1235
 PAGE    26 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
APPLIED MATLS INC              COM            038222105    1,931,290     155,186      X     28-5284     127991               27195
                                                           1,702,625     136,812      X   X 28-5284     113836               22976
                                                             233,008      18,723      X     28-13605      4365               14358
                                                             123,405       9,916      X   X 28-13605      9916
                                                              29,868       2,400      X   X 28-13663      2400
APTARGROUP INC                 COM            038336103       71,694       1,309      X     28-5284       1309
                                                              70,434       1,286      X   X 28-5284       1286
                                                             164,310       3,000      X     28-13605      3000
APPROACH RESOURCES INC         COM            03834A103      665,100      18,000      X   X 28-13605     18000
AQUA AMERICA INC               COM            03836W103    1,435,610      64,406      X     28-5284      64406
                                                           2,289,138     102,698      X   X 28-5284      96932                5766
                                                              26,726       1,199      X   X 28-13605      1199
ARBITRON INC                   COM            03875Q108        7,026         190      X     28-5284                            190
ARCELORMITTAL SA LUXEMBOURG    NY REGISTRY SH 03938L104        3,156         165      X   X 28-5284        165
                                                              15,304         800      X   X 28-13605       800
ARCH COAL INC                  COM            039380100      192,073      17,934      X     28-5284      13114                4820
                                                              16,065       1,500      X   X 28-5284       1500
                                                               1,928         180      X     28-13605       180
                                                               5,355         500      X   X 28-13605       500
ARCHER DANIELS MIDLAND CO      NOTE  0.875% 2 039483AW2      204,500       2,000      X     28-13605      2000
ARCHER DANIELS MIDLAND CO      COM            039483102    1,908,212      60,272      X     28-5284      58811                1461
                                                           1,591,263      50,261      X   X 28-5284      43601                6660
                                                             458,912      14,495      X     28-13605      6971                7524
                                                              70,507       2,227      X   X 28-13605      2227
                                                               8,168         258      X     28-13663                           258
ARCTIC CAT INC                 COM            039670104        3,427          80      X     28-5284                             80
                                                              34,272         800      X   X 28-5284                            800
ARES CAP CORP                  COM            04010L103      290,114      17,744      X     28-5284       2157               15587
                                                              17,576       1,075      X   X 28-5284       1075
                                                              33,795       2,067      X     28-13605      2067
                                                             210,261      12,860      X   X 28-13605     12860
ARIAD PHARMACEUTICALS INC      COM            04033A100        8,629         540      X     28-5284        540
               COLUMN TOTAL                               13,823,751






                                                                                                                   FILE NO. 28-1235
 PAGE    27 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ARIBA INC                      COM NEW        04033V203    1,109,392      33,916      X     28-5284      33916
                                                              20,640         631      X   X 28-5284        631
ARKANSAS BEST CORP DEL         COM            040790107        3,386         180      X     28-5284                            180
                                                              45,144       2,400      X   X 28-5284       1100                1300
ARLINGTON ASSET INVT CORP      CL A NEW       041356205      394,960      17,791      X     28-13605     17791
ARM HLDGS PLC                  SPONSORED ADR  042068106      363,781      12,859      X     28-5284      12769                  90
                                                              24,725         874      X   X 28-5284        661                 213
                                                              64,303       2,273      X     28-13605      2273
                                                               7,242         256      X   X 28-13605       256
ARMOUR RESIDENTIAL REIT INC    COM            042315101        6,750       1,000      X     28-5284       1000
ARMSTRONG WORLD INDS INC NEW   COM            04247X102        3,073          63      X   X 28-5284         63
ARQULE INC                     COM            04269E107        1,542         220      X     28-5284                            220
ARRIS GROUP INC                COM            04269Q100       35,731       3,162      X     28-5284       3162
                                                               5,085         450      X   X 28-5284        450
                                                               2,034         180      X   X 28-13605       180
ARROW ELECTRS INC              COM            042735100       31,519         751      X   X 28-5284        751
ARTESIAN RESOURCES CORP        CL A           043113208       52,612       2,800      X     28-5284       2800
                                                              23,488       1,250      X   X 28-5284       1250
                                                              16,911         900      X   X 28-13663       900
ARTHROCARE CORP                COM            043136100      242,053       9,015      X   X 28-5284                           9015
ASCENT CAP GROUP INC           COM SER A      043632108       46,439         982      X     28-5284        312                 670
                                                              35,042         741      X   X 28-5284        231                 510
ASHFORD HOSPITALITY TR INC     COM SHS        044103109        4,379         486      X     28-5284        486
                                                             401,260      44,535      X     28-13605     44535
ASHLAND INC NEW                COM            044209104      153,932       2,521      X     28-5284       2521
                                                             162,542       2,662      X   X 28-5284       2662
ASSISTED LIVING CONCPT NEV N   CL A NEW       04544X300       45,511       2,740      X     28-5284                           2740
                                                             206,628      12,440      X   X 28-5284                          12440
               COLUMN TOTAL                                3,510,104






                                                                                                                   FILE NO. 28-1235
 PAGE    28 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ASSOCIATED BANC CORP           COM            045487105      287,953      20,627      X     28-5284       8602               12025
                                                             343,388      24,598      X   X 28-5284      24598
                                                               3,699         265      X     28-13605       265
ASSOCIATED ESTATES RLTY CORP   COM            045604105       16,340       1,000      X     28-5284       1000
ASSURANT INC                   COM            04621X108       30,416         751      X     28-5284         36                 715
                                                              22,316         551      X   X 28-5284        408                 143
                                                              59,414       1,467      X     28-13605       403                1064
                                                              13,284         328      X   X 28-13605       328
ASTEC INDS INC                 COM            046224101        5,107         140      X     28-5284                            140
                                                               9,120         250      X   X 28-5284                            250
ASTORIA FINL CORP              COM            046265104       20,233       2,052      X     28-5284       2052
                                                                 848          86      X   X 28-5284         86
ASTRAZENECA PLC                SPONSORED ADR  046353108      265,383       5,965      X     28-5284       3347                2618
                                                             891,847      20,046      X   X 28-5284      13879                6167
                                                             125,773       2,827      X   X 28-13605      2827
                                                             137,118       3,082      X   X 28-13663      3082
ASTRONICS CORP                 COM            046433108      230,177       6,584      X     28-13605      6584
ATHENAHEALTH INC               COM            04685W103      846,302      11,418      X     28-5284                          11418
                                                             454,504       6,132      X   X 28-5284         50                6082
                                                              51,513         695      X     28-13605       600                  95
                                                              44,768         604      X     28-13663                           604
ATHERSYS INC                   COM            04744L106       12,400       8,000      X     28-5284       8000
ATLANTIC PWR CORP              COM NEW        04878Q863       91,233       6,592      X     28-5284       6592
                                                              85,116       6,150      X   X 28-5284       6150
                                                               2,768         200      X   X 28-13605       200
ATLAS AIR WORLDWIDE HLDGS IN   COM NEW        049164205       91,875       1,867      X     28-5284        217                1650
                                                             411,150       8,355      X   X 28-5284         45                8310
                                                              66,680       1,355      X     28-13605      1355
ATLAS ENERGY LP                COM UNITS LP   04930A104       58,509       1,773      X     28-5284       1773
                                                              43,098       1,306      X   X 28-5284       1306
               COLUMN TOTAL                                4,722,332






                                                                                                                   FILE NO. 28-1235
 PAGE    29 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103       68,991       1,950      X     28-5284       1950
                                                              31,842         900      X   X 28-5284        900
                                                              88,627       2,505      X     28-13605      2505
ATLAS RESOURCE PARTNERS LP     COM UNT LTD PR 04941A101        5,044         181      X     28-5284        181
                                                               3,595         129      X   X 28-5284        129
ATMEL CORP                     COM            049513104      677,982      68,726      X   X 28-5284      68726
ATMOS ENERGY CORP              COM            049560105      529,472      16,830      X     28-5284      13710                3120
                                                             464,759      14,773      X   X 28-5284      14773
                                                              53,482       1,700      X     28-13605      1700
                                                              62,920       2,000      X   X 28-13605                          2000
                                                              34,700       1,103      X   X 28-13663      1103
ATRION CORP                    COM            049904105       34,474         164      X   X 28-5284                            164
                                                             147,357         701      X     28-13605       701
ATWOOD OCEANICS INC            COM            050095108      417,567       9,302      X     28-5284        163                9139
                                                             105,222       2,344      X   X 28-5284       1011                1333
                                                           1,784,378      39,750      X     28-13605     33234                6516
                                                             132,021       2,941      X   X 28-13605      2941
                                                              14,903         332      X     28-13663                           332
AURICO GOLD INC                COM            05155C105       88,700      10,000      X   X 28-5284      10000
AURIZON MINES LTD              COM            05155P106        2,420         500      X   X 28-5284        500
AUTODESK INC                   COM            052769106    1,121,099      26,491      X     28-5284       6635               19856
                                                             853,214      20,161      X   X 28-5284       6731               13430
                                                             457,522      10,811      X     28-13605      8418                2393
                                                             489,219      11,560      X   X 28-13605     11560
                                                              35,126         830      X     28-13663                           830
AUTOLIV INC                    COM            052800109      638,383       9,521      X     28-5284       6721                2800
                                                             770,673      11,494      X   X 28-5284       5819                5675
                                                             100,575       1,500      X   X 28-13663      1500
               COLUMN TOTAL                                9,214,267






                                                                                                                   FILE NO. 28-1235
 PAGE    30 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AUTOMATIC DATA PROCESSING IN   COM            053015103   39,756,944     720,365      X     28-5284     715663                4702
                                                          41,994,071     760,900      X   X 28-5284     719133               41767
                                                           1,174,664      21,284      X     28-13605     15663                5621
                                                           1,789,039      32,416      X   X 28-13605     32266                 150
                                                              79,584       1,442      X     28-13663      1270                 172
                                                             304,097       5,510      X   X 28-13663      5510
AUTONATION INC                 COM            05329W102       37,535       1,094      X     28-5284        736                 358
                                                              85,775       2,500      X   X 28-5284       2500
                                                              21,787         635      X     28-13605       135                 500
                                                               2,813          82      X     28-13663                            82
AUTOZONE INC                   COM            053332102    1,803,974       4,852      X     28-5284       4667                 185
                                                           1,415,443       3,807      X   X 28-5284       3758                  49
                                                             171,772         462      X     28-13605       145                 317
                                                              52,052         140      X   X 28-13605       140
                                                               1,859           5      X     28-13663                             5
AVALONBAY CMNTYS INC           COM            053484101    1,880,662      13,305      X     28-5284      13048                 257
                                                           1,904,691      13,475      X   X 28-5284      13100                 375
                                                             249,624       1,766      X     28-13605       649                1117
                                                              28,270         200      X   X 28-13605       200
                                                               1,131           8      X     28-13663                             8
AVERY DENNISON CORP            COM            053611109      337,426      11,199      X     28-5284      10978                 221
                                                             224,529       7,452      X   X 28-5284       7408                  44
                                                             170,235       5,650      X     28-13605      4492                1158
                                                              63,273       2,100      X   X 28-13605      2100
AVIAT NETWORKS INC             COM            05366Y102          826         293      X     28-5284        292                   1
                                                                 558         198      X   X 28-5284        198
AVID TECHNOLOGY INC            COM            05367P100        2,156         196      X     28-5284                            196
                                                              11,000       1,000      X   X 28-5284       1000
AVIS BUDGET GROUP              COM            053774105      170,791      12,070      X   X 28-5284                          12070
                                                               1,415         100      X     28-13605       100
AVISTA CORP                    COM            05379B107        9,976         390      X     28-5284                            390
AVNET INC                      COM            053807103       84,425       2,320      X     28-5284                           2320
                                                             420,741      11,562      X   X 28-5284        762               10800
                                                              12,737         350      X     28-13605       350
               COLUMN TOTAL                               94,265,875






                                                                                                                   FILE NO. 28-1235
 PAGE    31 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
AVIVA PLC                      ADR            05382A104       35,789       3,370      X     28-5284       3370
                                                                 404          38      X   X 28-5284         38
AVON PRODS INC                 COM            054303102      451,998      23,347      X     28-5284      10088               13259
                                                             293,227      15,146      X   X 28-5284      13958                1188
                                                             126,924       6,556      X     28-13605      1800                4756
                                                              19,360       1,000      X   X 28-13605      1000
                                                               4,298         222      X     28-13663                           222
                                                              12,429         642      X   X 28-13663       642
BB&T CORP                      COM            054937107    3,452,335     109,982      X     28-5284     106022                3960
                                                             670,553      21,362      X   X 28-5284      20541                 821
                                                           1,895,830      60,396      X     28-13605     52854                7542
                                                             212,416       6,767      X   X 28-13605      6767
                                                             109,865       3,500      X     28-13663      3500
B & G FOODS INC NEW            COM            05508R106       20,259         900      X     28-5284        900
                                                             312,664      13,890      X   X 28-5284      13890
                                                             166,597       7,401      X     28-13605      7401
                                                              63,028       2,800      X   X 28-13605      2800
BCE INC                        COM NEW        05534B760    4,270,556     106,604      X     28-5284     101159                5445
                                                           4,929,864     123,062      X   X 28-5284     117062                6000
                                                              19,069         476      X     28-13605       476
                                                              33,851         845      X   X 28-13605       845
                                                             239,198       5,971      X     28-13663      5910                  61
                                                             149,824       3,740      X   X 28-13663      3740
BGC PARTNERS INC               CL A           05541T101      173,181      23,387      X     28-5284      18000                5387
                                                              59,840       8,081      X   X 28-5284                           8081
BHP BILLITON PLC               SPONSORED ADR  05545E209    1,966,922      32,045      X     28-5284       4075               27970
                                                             740,918      12,071      X   X 28-5284          6               12065
                                                              49,472         806      X     28-13663                           806
BOK FINL CORP                  COM NEW        05561Q201       10,356         184      X   X 28-5284        184
                                                              11,143         198      X     28-13605       198
               COLUMN TOTAL                               20,502,170






                                                                                                                   FILE NO. 28-1235
 PAGE    32 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BP PLC                         SPONSORED ADR  055622104   27,595,125     613,225      X     28-5284     610127                3098
                                                          47,114,190   1,046,982      X   X 28-5284     962733               84249
                                                           3,503,250      77,850      X     28-13605     77400                 450
                                                           5,509,710     122,438      X   X 28-13605    118670                3768
                                                             153,990       3,422      X     28-13663      3422
                                                             685,440      15,232      X   X 28-13663     15232
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107    1,236,488       9,884      X     28-5284       9434                 450
                                                             307,621       2,459      X   X 28-5284       1959                 500
                                                             352,282       2,816      X     28-13605      2816
BRE PROPERTIES INC             CL A           05564E106      141,439       2,798      X     28-5284       2798
                                                             273,476       5,410      X   X 28-5284       5410
                                                              82,700       1,636      X     28-13605      1636
BRT RLTY TR                    SH BEN INT NEW 055645303        7,472       1,069      X     28-5284       1069
BT GROUP PLC                   ADR            05577E101        3,616         100      X   X 28-5284        100
BMC SOFTWARE INC               COM            055921100      123,291       3,070      X     28-5284       2532                 538
                                                              36,505         909      X   X 28-5284        754                 155
                                                              95,059       2,367      X     28-13605       501                1866
BABCOCK & WILCOX CO NEW        COM            05615F102       84,100       3,266      X     28-5284       3266
                                                               8,832         343      X   X 28-5284        343
                                                           3,078,413     119,550      X     28-13605    119550
                                                              14,626         568      X   X 28-13605       568
                                                             109,438       4,250      X     28-13663      4250
BADGER METER INC               COM            056525108       67,980       2,000      X     28-5284       2000
                                                             980,612      28,850      X   X 28-5284      28850
BAIDU INC                      SPON ADR REP A 056752108    4,145,699      28,440      X     28-5284      13651               14789
                                                           1,706,967      11,710      X   X 28-5284       5174                6536
                                                              32,944         226      X     28-13605       226
                                                              46,646         320      X   X 28-13605       320
                                                              59,766         410      X     28-13663                           410
BAKER MICHAEL CORP             COM            057149106       76,320       3,200      X     28-5284       3200
                                                             178,875       7,500      X   X 28-5284       7500
                                                               8,944         375      X   X 28-13605       375
               COLUMN TOTAL                               97,821,816






                                                                                                                   FILE NO. 28-1235
 PAGE    33 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BAKER HUGHES INC               COM            057224107    2,969,729      70,809      X     28-5284      67620                3189
                                                           2,152,990      51,335      X   X 28-5284      44131                7204
                                                             374,273       8,924      X     28-13605      3889                5035
                                                             106,905       2,549      X   X 28-13605      2549
                                                              65,091       1,552      X     28-13663      1412                 140
                                                              66,810       1,593      X   X 28-13663      1593
BALCHEM CORP                   COM            057665200    1,244,334      41,135      X     28-13605     33143                7992
                                                               6,927         229      X   X 28-13605       229
BALL CORP                      COM            058498106    2,116,300      49,354      X     28-5284      47355                1999
                                                           2,822,447      65,822      X   X 28-5284      62602                3220
                                                             508,128      11,850      X     28-13605     10073                1777
                                                              10,291         240      X   X 28-13605       200                  40
                                                                 429          10      X     28-13663                            10
                                                             137,216       3,200      X   X 28-13663      3200
BALLARD PWR SYS INC NEW        COM            058586108          858         600      X   X 28-5284        600
BALLY TECHNOLOGIES INC         COM            05874B107       24,170         517      X     28-5284        517
                                                               5,376         115      X   X 28-5284        115
BANCO BILBAO VIZCAYA ARGENTA   SPONSORED ADR  05946K101        3,268         409      X     28-5284        409
                                                              18,625       2,331      X   X 28-5284       2331
BANCO BRADESCO S A             SP ADR PFD NEW 059460303       62,878       3,593      X   X 28-5284                           3593
BANCO SANTANDER SA             ADR            05964H105      793,354     103,436      X     28-5284     103436
                                                             130,137      16,967      X   X 28-5284       4231               12736
                                                               6,911         901      X     28-13605       901
BANCOLOMBIA S A                SPON ADR PREF  05968L102       29,097         450      X   X 28-5284        450
BANCORPSOUTH INC               COM            059692103       13,483       1,001      X     28-5284       1000                   1
                                                                 337          25      X     28-13605        25
BANK OF AMERICA CORPORATION    COM            060505104   17,563,850   1,835,303      X     28-5284    1765052               70251
                                                          16,215,619   1,694,422      X   X 28-5284    1667589               26833
                                                          18,884,414   1,973,293      X     28-13605   1719034              254259
                                                           4,737,341     495,020      X   X 28-13605    478927       380     15713
                                                              46,032       4,810      X     28-13663      3448                1362
                                                              78,474       8,200      X   X 28-13663      8200
               COLUMN TOTAL                               71,196,094






                                                                                                                   FILE NO. 28-1235
 PAGE    34 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BANK OF AMERICA CORPORATION    *W EXP 10/28/2 060505153       72,660      69,200      X   X 28-5284      69200
BANK OF AMERICA CORPORATION    7.25%CNV PFD L 060505682      216,337         221      X     28-5284        221
                                                             412,117         421      X   X 28-5284        421
BANK HAWAII CORP               COM            062540109      233,579       4,831      X     28-5284        738                4093
                                                             345,026       7,136      X   X 28-5284       7136
                                                              14,505         300      X     28-13605       300
                                                              48,350       1,000      X   X 28-13605      1000
BANK KY FINL CORP              COM            062896105        5,146         200      X     28-5284        200
BANK MONTREAL QUE              COM            063671101      587,604       9,889      X     28-5284       9465                 424
                                                              63,995       1,077      X   X 28-5284        575                 502
                                                                 654          11      X     28-13605                            11
BANK OF THE OZARKS INC         COM            063904106      544,018      17,403      X     28-5284       1630               15773
                                                             123,883       3,963      X   X 28-5284                           3963
                                                           4,191,778     134,094      X     28-13605    110667               23427
                                                             209,848       6,713      X   X 28-13605      6713
                                                              18,006         576      X     28-13663                           576
BANK OF NEW YORK MELLON CORP   COM            064058100    4,501,813     186,565      X     28-5284     177990                8575
                                                           3,374,460     139,845      X   X 28-5284     128654               11191
                                                           1,131,938      46,910      X     28-13605     33401               13509
                                                              65,730       2,724      X   X 28-13605      2724
                                                              13,320         552      X     28-13663                           552
                                                              12,958         537      X   X 28-13663       537
BANK NOVA SCOTIA HALIFAX       COM            064149107      289,895       5,173      X     28-5284       5173
                                                             334,839       5,975      X   X 28-5284       5475                 500
                                                              21,295         380      X     28-13605       380
                                                              11,208         200      X   X 28-13605       200
                                                             112,080       2,000      X   X 28-13663      2000
BANRO CORP                     COM            066800103        3,497         757      X     28-5284        757
BARCLAYS BK PLC                DJUBS CMDT ETN 06738C778   24,649,792     582,462      X     28-5284     578504                3958
                                                          16,406,364     387,674      X   X 28-5284     384559                3115
                                                             661,546      15,632      X     28-13605     15632
                                                             185,573       4,385      X   X 28-13605      4385
                                                             910,769      21,521      X     28-13663     21521
                                                              81,551       1,927      X   X 28-13663      1927
               COLUMN TOTAL                               59,856,134






                                                                                                                   FILE NO. 28-1235
 PAGE    35 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BARCLAYS BK PLC                IPSP CROIL ETN 06738C786        9,187         355      X     28-5284        355
                                                              51,139       1,976      X     28-13605      1976
BARCLAYS PLC                   ADR            06738E204       36,299       2,396      X     28-5284       2396
                                                                 242          16      X   X 28-5284         16
                                                              23,058       1,522      X     28-13605      1522
                                                               7,575         500      X   X 28-13605       500
BARD C R INC                   COM            067383109    4,084,441      41,374      X     28-5284      40670                 704
                                                           5,385,275      54,551      X   X 28-5284      51789                2762
                                                             262,793       2,662      X     28-13605      1590                1072
                                                             271,480       2,750      X   X 28-13605      2750
                                                              11,748         119      X     28-13663       100                  19
BARCLAYS BK PLC                ETN DJUBS COPR 06739F101       14,721         300      X     28-5284        300
                                                             148,977       3,036      X     28-13605      3036
BARCLAYS BK PLC                ETN DJUBS NCKL 06739F119        2,537         100      X     28-5284        100
BARCLAYS BK PLC                IPMS INDIA ETN 06739F291       25,129         445      X     28-5284        445
BARCLAYS BK PLC                ADR 2 PREF 2   06739F390       53,913       2,252      X     28-5284       2252
                                                              34,713       1,450      X   X 28-5284       1450
                                                              19,152         800      X   X 28-13605       800
BARCLAYS BANK PLC              ETN DJUBS AGRI 06739H206      407,755       7,400      X   X 28-5284       7400
BARCLAYS BANK PLC              ETN DJUBS GRNS 06739H305       45,040         950      X   X 28-5284        950
BARCLAYS BANK PLC              ADR PFD SR 5   06739H362       92,831       3,649      X     28-5284       3649
                                                             126,310       4,965      X   X 28-5284       4965
BARCLAYS BANK PLC              ADS7.75%PFD S4 06739H511      144,875       5,749      X     28-5284       5749
                                                              70,560       2,800      X   X 28-5284       2800
                                                              25,200       1,000      X     28-13605      1000
BARCLAYS BANK PLC              ETN DJUBSLVSTK 06739H743       65,524       2,331      X   X 28-5284       2331
BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776       46,184       1,866      X     28-5284       1866
                                                              24,750       1,000      X     28-13605      1000
BARCLAYS BK PLC                IPTH S&P VIX N 06740C261      150,609       8,975      X     28-5284       8975
                                                              83,905       5,000      X   X 28-5284       5000
               COLUMN TOTAL                               11,725,922






                                                                                                                   FILE NO. 28-1235
 PAGE    36 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BARCLAYS BK PLC                10 YR TREAS BU 06740L493       29,160         450      X   X 28-5284        450
BARNES & NOBLE INC             COM            067774109          795          60      X     28-5284         60
BARNES GROUP INC               COM            067806109       96,952       3,685      X     28-5284       3365                 320
BARRICK GOLD CORP              COM            067901108    4,701,058     108,120      X     28-5284     104538                3582
                                                           2,071,039      47,632      X   X 28-5284      42326                5306
                                                              31,740         730      X     28-13605       730
                                                               9,783         225      X   X 28-13605       225
                                                              17,392         400      X     28-13663       400
                                                              14,131         325      X   X 28-13663       325
BARRETT BILL CORP              COM            06846N104       16,620         639      X     28-5284        639
BAXTER INTL INC                COM            071813109   17,270,143     288,895      X     28-5284     281358                7537
                                                          15,250,177     255,105      X   X 28-5284     238693               16412
                                                           3,661,884      61,256      X     28-13605     54306                6950
                                                           1,399,151      23,405      X   X 28-13605     22921        34       450
                                                              26,184         438      X     28-13663       300                 138
                                                             356,827       5,969      X   X 28-13663      5969
BAYTEX ENERGY CORP             COM            07317Q105      103,720       2,000      X     28-5284       2000
                                                             124,464       2,400      X   X 28-5284       2400
                                                              31,116         600      X     28-13605       600
BBCN BANCORP INC               COM            073295107        8,681         780      X     28-5284        780
BE AEROSPACE INC               COM            073302101   38,342,351     825,099      X     28-5284     789910               35189
                                                             875,588      18,842      X   X 28-5284        412               18430
                                                           3,366,380      72,442      X     28-13605     59342               13100
                                                              17,844         384      X   X 28-13605       384
                                                             160,275       3,449      X     28-13663                          3449
BEACON ROOFING SUPPLY INC      COM            073685109       82,303       3,195      X   X 28-5284                           3195
                                                              38,640       1,500      X     28-13605                          1500
                                                             183,875       7,138      X   X 28-13605      7138
BEAM INC                       COM            073730103    4,517,446      77,129      X     28-5284      76459                 670
                                                           5,919,201     101,062      X   X 28-5284      94649                6413
                                                             528,711       9,027      X     28-13605      7264                1763
                                                             364,305       6,220      X   X 28-13605      6220
                                                              11,714         200      X   X 28-13663       200
               COLUMN TOTAL                               99,629,650






                                                                                                                   FILE NO. 28-1235
 PAGE    37 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BEAM INC                       PFD CV $2.67   073730202       46,802         100      X     28-5284        100
BECTON DICKINSON & CO          COM            075887109   19,587,601     252,255      X     28-5284     249800                2455
                                                          11,807,148     152,056      X   X 28-5284     138264               13792
                                                             981,962      12,646      X     28-13605     10124                2522
                                                             776,888      10,005      X   X 28-13605     10005
                                                             171,839       2,213      X     28-13663      2020                 193
                                                             179,760       2,315      X   X 28-13663      2315
BED BATH & BEYOND INC          COM            075896100      947,548      14,407      X     28-5284      13514                 893
                                                             648,098       9,854      X   X 28-5284       9603                 251
                                                             310,040       4,714      X     28-13605      1028                3686
                                                              18,021         274      X   X 28-13605       274
                                                               1,447          22      X     28-13663                            22
                                                             118,386       1,800      X   X 28-13663      1800
BEL FUSE INC                   CL B           077347300        1,060          60      X     28-5284                             60
BELDEN INC                     COM            077454106        1,175          31      X     28-5284         31
                                                             152,701       4,028      X     28-13605      4028
BELO CORP                      COM SER A      080555105       15,846       2,210      X   X 28-5284       2210
BEMIS INC                      COM            081437105      467,882      14,490      X     28-5284      14365                 125
                                                           2,082,285      64,487      X   X 28-5284      64487
                                                             142,948       4,427      X     28-13605      3260                1167
                                                               1,647          51      X   X 28-13605        51
                                                               1,518          47      X     28-13663                            47
BENCHMARK ELECTRS INC          COM            08160H101        6,431         390      X     28-5284                            390
BENEFICIAL MUTUAL BANCORP IN   COM            08173R104    1,048,800     120,000      X     28-5284     120000
BERKLEY W R CORP               COM            084423102    2,006,322      55,546      X     28-5284        200               55346
                                                           1,926,243      53,329      X   X 28-5284      10519               42810
                                                             193,964       5,370      X   X 28-13605      5370
                                                             130,032       3,600      X     28-13663                          3600
BERKSHIRE HATHAWAY INC DEL     CL A           084670108   19,260,200         158      X     28-5284        158
                                                         232,219,500       1,905      X   X 28-5284       1868                  37
                                                           1,706,600          14      X     28-13605        14
                                                           5,973,100          49      X   X 28-13605        49
                                                           1,462,800          12      X   X 28-13663        12
               COLUMN TOTAL                              304,396,594






                                                                                                                   FILE NO. 28-1235
 PAGE    38 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BERKSHIRE HATHAWAY INC DEL     CL B NEW       084670702   35,653,009     439,347      X     28-5284     403629               35718
                                                          48,446,956     597,005      X   X 28-5284     529542               67463
                                                           4,901,217      60,397      X     28-13605     39627               20770
                                                           2,459,088      30,303      X   X 28-13605     28763                1540
                                                             561,315       6,917      X     28-13663      3600                3317
                                                             514,816       6,344      X   X 28-13663      5849                 495
BERKSHIRE HILLS BANCORP INC    COM            084680107       64,176       2,800      X   X 28-5284                           2800
BERRY PETE CO                  CL A           085789105      122,538       2,600      X     28-5284       2600
                                                              54,200       1,150      X   X 28-5284                           1150
BEST BUY INC                   COM            086516101      340,282      14,370      X     28-5284      12300                2070
                                                             339,050      14,318      X   X 28-5284      10801                3517
                                                             185,983       7,854      X     28-13605      4398                3456
                                                              33,744       1,425      X   X 28-13605      1425
BHP BILLITON LTD               SPONSORED ADR  088606108    4,264,867      58,907      X     28-5284      57692                1215
                                                           6,027,952      83,259      X   X 28-5284      79794                3465
                                                             217,707       3,007      X     28-13605      3007
                                                               8,688         120      X   X 28-13605       120
BIG LOTS INC                   COM            089302103       20,219         470      X     28-5284        298                 172
                                                              37,599         874      X   X 28-5284        803                  71
                                                              40,955         952      X     28-13605       202                 750
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602    1,760,546      74,885      X     28-13605     59907               14978
                                                               9,827         418      X   X 28-13605       418
BIO RAD LABS INC               CL A           090572207        8,192          79      X   X 28-5284         79
                                                             272,083       2,624      X   X 28-13605      2624
BIOMARIN PHARMACEUTICAL INC    COM            09061G101       14,762         431      X     28-5284        431
                                                              85,728       2,503      X   X 28-5284       2503
BIOGEN IDEC INC                COM            09062X103      811,818       6,443      X     28-5284       5223                1220
                                                             640,962       5,087      X   X 28-5284       4252                 835
                                                             443,268       3,518      X     28-13605       786                2732
                                                              79,128         628      X   X 28-13605       628
BIOMED REALTY TRUST INC        COM            09063H107        3,796         200      X     28-5284        200
               COLUMN TOTAL                              108,424,471






                                                                                                                   FILE NO. 28-1235
 PAGE    39 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BJS RESTAURANTS INC            COM            09180C106      505,866      10,047      X     28-5284       1000                9047
                                                              79,654       1,582      X   X 28-5284        200                1382
                                                              16,565         329      X     28-13663                           329
BLACK BOX CORP DEL             COM            091826107        3,316         130      X     28-5284                            130
                                                              15,561         610      X   X 28-5284        400                 210
BLACKROCK FLOATING RATE INCO   COM            091941104       51,372       3,600      X   X 28-5284       3600
BLACK HILLS CORP               COM            092113109      133,181       3,972      X     28-5284       3972
                                                              60,354       1,800      X   X 28-5284       1800
BLACKBAUD INC                  COM            09227Q100        4,652         140      X     28-13605       140
BLACKROCK INVT QLTY MUN TR     COM            09247B109      249,046      18,544      X   X 28-5284      18544
BLACKROCK INC                  COM            09247X101   18,720,893      91,366      X     28-5284      59294               32072
                                                           1,199,894       5,856      X   X 28-5284       4483                1373
                                                             297,310       1,451      X     28-13605       355                1096
                                                               2,869          14      X   X 28-13605        14
                                                       6,800,108,505  33,187,450      X     28-4750   33187450
BLACKROCK MUNICIPL INC QLTY    COM            092479104      109,848       7,333      X     28-5284       7333
                                                              15,984       1,067      X   X 28-5284       1067
BLACKROCK MUN INCOME TR        SH BEN INT     09248F109       23,184       1,600      X     28-5284       1600
                                                              98,706       6,812      X   X 28-5284       6812
BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101       11,775         750      X     28-5284        750
BLACKROCK BUILD AMER BD TR     SHS            09248X100       43,372       2,022      X     28-5284       2022
                                                              35,607       1,660      X   X 28-5284       1660
                                                              53,625       2,500      X     28-13605      2500
BLACKROCK NJ MUNICIPAL BOND    COM            09249A109       34,422       2,142      X   X 28-5284       2142
BLACKROCK CORE BD TR           SHS BEN INT    09249E101       85,374       6,200      X   X 28-5284       6200
BLACKROCK MD MUNICIPAL BOND    COM            09249L105        9,900         600      X     28-5284        600
BLACKROCK MUNI INCOME TR II    COM            09249N101       24,692       1,593      X     28-5284       1593
BLACKROCK CREDIT ALL IN TR I   COM SHS        09249V103       11,230       1,000      X   X 28-5284       1000
               COLUMN TOTAL                            6,822,006,757






                                                                                                                   FILE NO. 28-1235
 PAGE    40 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BLACKROCK LTD DURATION INC T   COM SHS        09249W101       17,740       1,000      X   X 28-5284       1000
BLACKROCK MUN 2020 TERM TR     COM SHS        09249X109       26,393       1,662      X     28-5284       1662
                                                               7,352         463      X   X 28-5284        463
BLACKROCK LONG-TERM MUNI ADV   COM            09250B103       24,780       2,000      X     28-5284       2000
BLACKROCK ENERGY & RES TR      COM            09250U101       26,200       1,000      X     28-5284       1000
                                                           1,064,663      40,636      X   X 28-5284      40636
BLACKROCK HEALTH SCIENCES TR   COM            09250W107        9,093         331      X   X 28-13605       331
BLACKROCK GLOBAL OPP EQTY TR   COM            092501105       53,771       3,503      X     28-5284       3503
                                                              30,577       1,992      X   X 28-5284       1992
BLACKROCK CREDIT ALL INC TR    COM            092508100       41,641       3,186      X     28-5284       3186
BLACKROCK ENHANCED EQT DIV T   COM            09251A104       46,013       6,135      X     28-5284       6135
                                                               2,250         300      X   X 28-5284        300
BLACKROCK INTL GRWTH & INC T   COM BENE INTER 092524107       51,810       6,600      X     28-5284       6600
                                                             177,410      22,600      X   X 28-5284      22600
BLACKROCK MUNIVEST FD INC      COM            09253R105        5,210         500      X     28-5284        500
BLACKSTONE GROUP L P           COM UNIT LTD   09253U108      392,124      24,600      X     28-5284      24600
                                                               8,129         510      X   X 28-5284        510
                                                              15,940       1,000      X   X 28-13605      1000
BLACKROCK MUNIYIELD FD INC     COM            09253W104       97,984       6,400      X     28-5284       6400
                                                             257,086      16,792      X   X 28-5284      16792
BLACKROCK MUNI INTER DR FD I   COM            09253X102      393,159      24,805      X     28-5284      24805
BLACKROCK KELSO CAPITAL CORP   COM            092533108        5,254         535      X     28-13605       535
                                                           1,457,592     148,431      X                 148431
BLACKROCK MUNIHOLDNGS QLTY I   COM            09254A101       11,280         800      X     28-5284        800
                                                              23,730       1,683      X   X 28-5284       1683
BLACKROCK REAL ASSET EQUITY    COM            09254B109       60,250       5,000      X     28-5284       5000
                                                               4,820         400      X   X 28-5284        400
BLACKROCK MUNIHLDNGS QLTY II   COM            09254C107      188,595      13,500      X   X 28-5284      13500
               COLUMN TOTAL                                4,500,846






                                                                                                                   FILE NO. 28-1235
 PAGE    41 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BLACKROCK MUNIYIELD QLTY FD    COM            09254E103       86,965       6,120      X     28-5284       6120
                                                              59,199       4,166      X   X 28-5284       4166
BLACKROCK MUNIYIELD QUALITY    COM            09254F100       72,230       4,666      X   X 28-5284       4666
BLACKROCK MUNIYIELD QUALITY    COM            09254G108      108,480       8,000      X   X 28-5284       8000
BLACKROCK MUNIASSETS FD INC    COM            09254J102        8,769         674      X     28-5284        674
BLACKROCK MUNIYIELD ARIZ FD    COM            09254K109       63,671       4,364      X   X 28-5284       4364
BLACKROCK MUNIHLDNGS CALI QL   COM            09254L107       61,129       4,078      X     28-5284       4078
BLACKROCK MUNIYIELD CALI QLT   COM            09254N103       33,569       2,259      X     28-5284       2259
BLACKROCK MUNIHLDS INVSTM QL   COM            09254P108      136,227       9,337      X   X 28-5284       9337
BLACKROCK ECOSOLUTIONS INVT    COM SH         092546100       11,691       1,175      X     28-5284       1175
BLACKROCK MUNIYIELD PA QLTY    COM            09255G107      343,806      22,181      X     28-5284      22181
                                                             755,904      48,768      X   X 28-5284      48768
BLACKROCK CORPOR HIGH YLD FD   COM            09255L106       30,708       4,178      X   X 28-5284       4178
BLACKROCK CORPOR HI YLD FD V   COM            09255N102      215,735      17,190      X     28-5284      17190
                                                              92,318       7,356      X   X 28-5284       7356
BLACKROCK DEFINED OPPRTY CR    COM            09255Q105       51,456       3,840      X     28-5284       3840
BLACKROCK DEBT STRAT FD INC    COM            09255R103       15,732       3,800      X     28-5284       3800
                                                               2,074         501      X   X 28-13605       501
BLACKROCK SR HIGH INCOME FD    COM            09255T109        3,288         800      X     28-5284        800
BLACKROCK FL RATE OME STRA I   COM SHS        09255Y108        6,975         500      X     28-5284        500
BLACKROCK ENH CAP & INC FD I   COM            09256A109       75,854       5,623      X     28-5284       5623
                                                              26,980       2,000      X   X 28-5284       2000
               COLUMN TOTAL                                2,262,760






                                                                                                                   FILE NO. 28-1235
 PAGE    42 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BLOCK H & R INC                COM            093671105      383,339      23,275      X     28-5284      10399               12876
                                                             487,561      29,603      X   X 28-5284      29435                 168
                                                             312,584      18,979      X     28-13605     15711                3268
                                                              81,296       4,936      X   X 28-13605                          4936
                                                              43,316       2,630      X     28-13663      2500                 130
                                                              22,267       1,352      X   X 28-13663      1062                 290
BLYTH INC                      COM NEW        09643P207      326,483       4,363      X     28-13605      4363
BOARDWALK PIPELINE PARTNERS    UT LTD PARTNER 096627104    7,577,086     286,360      X     28-5284     286360
                                                           3,018,557     114,080      X   X 28-5284     107300                6780
                                                             140,238       5,300      X   X 28-13605      5300
                                                              13,230         500      X     28-13663       500
BOEING CO                      COM            097023105   15,358,744     206,518      X     28-5284     198264                8254
                                                           8,818,348     118,574      X   X 28-5284     109697                8877
                                                           1,567,943      21,083      X     28-13605     12705                8378
                                                             776,051      10,435      X   X 28-13605     10060                 375
                                                             229,431       3,085      X     28-13663      3000                  85
BOISE INC                      COM            09746Y105       70,532       8,591      X     28-13605      8591
BORGWARNER INC                 NOTE  3.500% 4 099724AF3    1,028,000       4,000      X   X 28-5284       4000
BORGWARNER INC                 COM            099724106   21,700,345     257,296      X     28-5284     243576               13720
                                                           4,452,393      52,791      X   X 28-5284      39881               12910
                                                          31,139,256     369,211      X     28-13605    339112               30099
                                                           5,748,193      68,155      X   X 28-13605     65379       109      2667
                                                             194,066       2,301      X     28-13663       941                1360
BOSTON BEER INC                CL A           100557107       24,028         225      X     28-5284        225
                                                           1,355,592      12,694      X     28-13605     10282                2412
                                                               7,048          66      X   X 28-13605        66
BOSTON PRIVATE FINL HLDGS IN   COM            101119105        6,045         610      X     28-5284                            610
                                                             182,027      18,368      X     28-13605     18368
BOSTON PPTYS LTD PARTNERSHIP   NOTE  3.750% 5 10112RAG9      454,500       4,000      X   X 28-5284       4000
               COLUMN TOTAL                              105,518,499






                                                                                                                   FILE NO. 28-1235
 PAGE    43 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BOSTON PROPERTIES INC          COM            101121101    2,727,535      25,979      X     28-5284      25439                 540
                                                           4,827,755      45,983      X   X 28-5284      45263                 720
                                                             236,647       2,254      X     28-13605       564                1690
                                                              73,493         700      X   X 28-13605       700
                                                               1,995          19      X     28-13663                            19
BOSTON SCIENTIFIC CORP         COM            101137107       83,624      13,984      X     28-5284      11042                2942
                                                             123,110      20,587      X   X 28-5284      18043                2544
                                                             136,326      22,797      X     28-13605      6533               16264
                                                              17,677       2,956      X   X 28-13605      2956
                                                               3,074         514      X     28-13663                           514
BOTTOMLINE TECH DEL INC        COM            101388106      147,747       5,288      X     28-13605      5288
BOYD GAMING CORP               COM            103304101          588          75      X     28-5284         75
                                                               3,936         502      X   X 28-5284        502
BRADY CORP                     CL A           104674106      279,181       8,630      X     28-5284       8260                 370
                                                              90,580       2,800      X   X 28-5284                           2800
BRANDYWINE RLTY TR             SH BEN INT NEW 105368203      106,959       9,317      X   X 28-5284       4317                5000
BRF-BRASIL FOODS S A           SPONSORED ADR  10552T107        1,501          75      X   X 28-5284         75
BREITBURN ENERGY PARTNERS LP   COM UT LTD PTN 106776107       35,334       1,848      X   X 28-5284       1848
                                                               3,824         200      X   X 28-13605       200
BRIGGS & STRATTON CORP         COM            109043109       34,426       1,920      X     28-5284       1600                 320
                                                             799,678      44,600      X   X 28-5284      44600
                                                               1,793         100      X   X 28-13605       100
BRIGHTPOINT INC                COM NEW        109473405          660          82      X   X 28-13605                            82
BRINKER INTL INC               COM            109641100       94,028       3,413      X   X 28-5284        673                2740
                                                              11,847         430      X     28-13605       430
                                                               1,791          65      X   X 28-13605        65
BRINKS CO                      COM            109696104        1,432          60      X   X 28-5284         60
               COLUMN TOTAL                                9,846,541






                                                                                                                   FILE NO. 28-1235
 PAGE    44 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BRISTOL MYERS SQUIBB CO        COM            110122108  121,397,940   3,596,976      X     28-5284    3512664               84312
                                                          84,267,979   2,496,829      X   X 28-5284    2430140       100     66589
                                                          38,074,286   1,128,127      X     28-13605   1020800              107327
                                                          13,211,978     391,466      X   X 28-13605    361554       248     29664
                                                             957,218      28,362      X     28-13663     27481                 881
                                                           1,123,301      33,283      X   X 28-13663     33283
BRISTOW GROUP INC              COM            110394103       38,279         802      X     28-5284        802
BRITISH AMERN TOB PLC          SPONSORED ADR  110448107      297,486       2,939      X     28-5284       2599                 340
                                                             542,742       5,362      X   X 28-5284       5362
                                                              51,319         507      X   X 28-13605       507
BROADCOM CORP                  CL A           111320107    5,558,553     141,439      X     28-5284     139904                1535
                                                           1,974,982      50,254      X   X 28-5284      29942               20312
                                                           3,526,782      89,740      X     28-13605     83660                6080
                                                             592,565      15,078      X   X 28-13605     15023        55
                                                              65,828       1,675      X     28-13663      1375                 300
                                                             216,150       5,500      X   X 28-13663      5500
BROADSOFT INC                  COM            11133B409       10,060         263      X     28-5284        263
                                                               2,066          54      X   X 28-5284         54
BROADRIDGE FINL SOLUTIONS IN   COM            11133T103      684,663      28,635      X     28-5284      26635                2000
                                                             606,716      25,375      X   X 28-5284      25275                 100
                                                               1,196          50      X     28-13605        50
                                                              18,530         775      X   X 28-13605       775
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306       14,375       2,500      X     28-5284       2500
                                                              17,733       3,084      X   X 28-5284       3084
                                                             429,031      74,614      X     28-13605     74614
BROOKDALE SR LIVING INC        COM            112463104        5,092         272      X   X 28-5284        272
BROOKFIELD ASSET MGMT INC      CL A LTD VT SH 112585104      408,421      12,937      X     28-5284      12937
                                                             931,694      29,512      X   X 28-5284      23387                6125
                                                               6,314         200      X     28-13605       200
                                                           1,960,497      62,100      X   X 28-13605     62100
BROOKFIELD RESIDENTIAL PPTYS   COM            11283W104        2,042         193      X   X 28-5284                            193
BROOKFIELD OFFICE PPTYS INC    COM            112900105       10,889         624      X     28-5284        624
                                                              38,390       2,200      X   X 28-5284                           2200
               COLUMN TOTAL                              277,045,097






                                                                                                                   FILE NO. 28-1235
 PAGE    45 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BROOKLINE BANCORP INC DEL      COM            11373M107       27,173       2,900      X     28-5284       2900
                                                              28,110       3,000      X   X 28-5284                           3000
BROOKS AUTOMATION INC          COM            114340102       41,922       3,400      X   X 28-5284                           3400
BROWN & BROWN INC              COM            115236101        7,134         300      X     28-5284        300
                                                             119,732       5,035      X   X 28-5284       5035
BROWN FORMAN CORP              CL A           115637100   33,270,725     407,380      X     28-5284     402602                4778
                                                          54,413,128     666,256      X   X 28-5284     571632               94624
                                                          66,590,533     815,361      X   X 28-13663    815361
BROWN FORMAN CORP              CL B           115637209   48,837,354     585,650      X     28-5284     584678                 972
                                                         202,470,169   2,427,991      X   X 28-5284    2424644                3347
                                                             122,166       1,465      X     28-13605       309                1156
                                                              10,841         130      X     28-13663       125                   5
BROWN SHOE INC NEW             COM            115736100        2,787         302      X     28-5284                            302
                                                               1,385         150      X   X 28-5284        150
BRUKER CORP                    COM            116794108    1,417,997      92,619      X     28-5284      52329               40290
                                                             466,710      30,484      X   X 28-5284       1504               28980
                                                              84,817       5,540      X     28-13663                          5540
BRUNSWICK CORP                 COM            117043109       33,012       1,282      X     28-5284       1282
BRYN MAWR BK CORP              COM            117665109      212,574       9,473      X     28-5284       9473
                                                             260,304      11,600      X   X 28-5284       6500                5100
BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101    3,988,324      65,190      X     28-5284      65190
                                                           1,137,153      18,587      X   X 28-5284      18587
                                                              16,825         275      X   X 28-13605       275
BUCKEYE TECHNOLOGIES INC       COM            118255108        9,172         270      X     28-5284                            270
                                                             190,742       5,615      X     28-13605      5615
BUCKLE INC                     COM            118440106       37,506         783      X     28-5284                            783
                                                              40,140         838      X   X 28-5284                            838
                                                           1,344,936      28,078      X     28-13605     23251                4827
                                                             103,177       2,154      X   X 28-13605      2154
               COLUMN TOTAL                              415,286,548






                                                                                                                   FILE NO. 28-1235
 PAGE    46 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
BUFFALO WILD WINGS INC         COM            119848109       59,946         661      X     28-5284        661
                                                               3,174          35      X     28-13605        35
C&J ENERGY SVCS INC            COM            12467B304       88,950       5,000      X     28-5284       5000
                                                               7,116         400      X   X 28-5284        400
CBIZ INC                       COM            124805102          790         125      X     28-5284        125
CBS CORP NEW                   CL A           124857103       38,097       1,112      X     28-5284       1045                  67
                                                               5,550         162      X   X 28-5284         87                  75
CBS CORP NEW                   CL B           124857202      433,743      12,791      X     28-5284      10314                2477
                                                           1,302,822      38,420      X   X 28-5284      33081                5339
                                                             339,100      10,000      X     28-13605      2767                7233
                                                              92,235       2,720      X   X 28-13605      2670                  50
                                                               7,799         230      X     28-13663                           230
                                                              13,564         400      X   X 28-13663       400
CBOE HLDGS INC                 COM            12503M108        9,379         330      X   X 28-5284        330
CBRE CLARION GLOBAL REAL EST   COM            12504G100        8,040       1,000      X     28-5284       1000
                                                              20,904       2,600      X   X 28-5284       2600
CBRE GROUP INC                 CL A           12504L109       39,800       1,994      X     28-5284       1355                 639
                                                              99,560       4,988      X   X 28-5284       3539                1449
                                                             109,201       5,471      X     28-13605      1942                3529
                                                               6,108         306      X   X 28-13605       306
C D I CORP                     COM            125071100        1,614          90      X     28-5284                             90
CEC ENTMT INC                  COM            125137109        5,307         140      X     28-5284                            140
                                                               6,634         175      X   X 28-5284        175
CFS BANCORP INC                COM            12525D102       10,260       1,800      X   X 28-5284                           1800
CF INDS HLDGS INC              COM            125269100    1,429,602       7,827      X     28-5284       7579                 248
                                                             185,572       1,016      X   X 28-5284       1003                  13
                                                           9,130,491      49,989      X     28-13605     38907               11082
                                                           1,109,416       6,074      X   X 28-13605      5958        26        90
                                                               1,279           7      X     28-13663                             7
CH ENERGY GROUP INC            COM            12541M102       90,753       1,360      X     28-5284       1250                 110
               COLUMN TOTAL                               14,656,806






                                                                                                                   FILE NO. 28-1235
 PAGE    47 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209      132,617       2,025      X     28-5284       1725                 300
                                                           1,942,368      29,659      X   X 28-5284      26452                3207
                                                             158,289       2,417      X     28-13605       511                1906
                                                               1,179          18      X     28-13663                            18
CIGNA CORPORATION              COM            125509109    4,375,370      88,840      X     28-5284      87726                1114
                                                           9,568,093     194,276      X   X 28-5284     193987                 289
                                                             750,521      15,239      X     28-13605     11768                3471
                                                             291,856       5,926      X   X 28-13605      5926
                                                               1,281          26      X     28-13663                            26
CIT GROUP INC                  COM NEW        125581801      100,254       2,431      X     28-5284        311                2120
                                                             884,804      21,455      X   X 28-5284       3395               18060
CLECO CORP NEW                 COM            12561W105       21,728         548      X     28-5284        548
                                                             106,103       2,676      X   X 28-5284       2676
                                                             350,546       8,841      X     28-13605      8841
CKX LANDS INC                  COM            12562N104        3,870         300      X     28-5284        300
CME GROUP INC                  COM            12572Q105      719,853       2,488      X     28-5284       1203                1285
                                                             519,058       1,794      X   X 28-5284       1252                 542
                                                             271,392         938      X     28-13605       214                 724
                                                              49,475         171      X   X 28-13605       131                  40
CMS ENERGY CORP                COM            125896100       71,566       3,253      X     28-5284       2622                 631
                                                              32,120       1,460      X   X 28-5284       1460
                                                             298,210      13,555      X     28-13605     10540                3015
                                                              58,058       2,639      X   X 28-13663      2639
CNA FINL CORP                  COM            126117100        3,637         124      X     28-5284        124
                                                               2,024          69      X   X 28-5284         69
                                                                 440          15      X     28-13605        15
                                                                 440          15      X   X 28-13605        15
CNB FINL CORP PA               COM            126128107        8,355         500      X     28-5284        500
                                                             180,468      10,800      X   X 28-5284      10800
CNOOC LTD                      SPONSORED ADR  126132109       16,547          81      X     28-5284         55                  26
                                                             370,582       1,814      X   X 28-5284        961                 853
                                                              36,772         180      X     28-13605       180
               COLUMN TOTAL                               21,327,876






                                                                                                                   FILE NO. 28-1235
 PAGE    48 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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      121,000       4,000      X     28-5284       4000
                                                              27,225         900      X   X 28-5284        900
                                                               9,075         300      X     28-13605       300
                                                              22,688         750      X   X 28-13605       750
CNO FINL GROUP INC             COM            12621E103      133,979      17,221      X     28-5284       2000               15221
                                                             394,874      50,755      X     28-13605     50755
CRH PLC                        ADR            12626K203       24,612       1,200      X     28-5284       1200
                                                              30,765       1,500      X   X 28-5284       1500
                                                               2,051         100      X   X 28-13605       100
CSX CORP                       COM            126408103   19,861,733     922,943      X     28-5284     906188               16755
                                                           9,621,269     447,085      X   X 28-5284     414763               32322
                                                           1,633,346      75,899      X     28-13605     64507               11392
                                                           1,954,489      90,822      X   X 28-13605     78532               12290
                                                              95,355       4,431      X     28-13663      3840                 591
                                                              58,879       2,736      X   X 28-13663      2736
CTS CORP                       COM            126501105       13,360       1,270      X     28-5284       1000                 270
CVB FINL CORP                  COM            126600105      242,971      20,696      X     28-13605                         20696
CVR ENERGY INC                 COM            12662P108        5,350         200      X   X 28-5284        200
CVR PARTNERS LP                COM            126633106       18,410         700      X   X 28-5284        700
                                                             108,435       4,123      X     28-13605      4123
CVS CAREMARK CORPORATION       COM            126650100   22,316,941     498,146      X     28-5284     471945               26201
                                                          16,791,712     374,815      X   X 28-5284     338503               36312
                                                           5,185,914     115,757      X     28-13605     99726               16031
                                                             277,984       6,205      X   X 28-13605      6205
                                                             341,197       7,616      X     28-13663      4493                3123
                                                              53,760       1,200      X   X 28-13663      1200
CYS INVTS INC                  COM            12673A108       57,282       4,376      X     28-5284       4376
                                                              39,270       3,000      X   X 28-5284       3000
CA INC                         COM            12673P105      548,416      19,899      X     28-5284      12191                7708
                                                              93,759       3,402      X   X 28-5284       3127                 275
                                                           2,850,862     103,442      X     28-13605     99087                4355
                                                             987,447      35,829      X   X 28-13605     35829
                                                               3,500         127      X     28-13663                           127
               COLUMN TOTAL                               83,927,910






                                                                                                                   FILE NO. 28-1235
 PAGE    49 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CABELAS INC                    COM            126804301       21,059         552      X   X 28-5284        552
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109      124,457       8,478      X     28-5284       6778                1700
                                                              11,700         797      X   X 28-5284        760                  37
                                                              45,508       3,100      X     28-13605       658                2442
                                                               4,110         280      X   X 28-13605       280
CABOT CORP                     COM            127055101       70,209       1,645      X     28-5284        125                1520
                                                             342,080       8,015      X   X 28-5284        505                7510
CABOT MICROELECTRONICS CORP    COM            12709P103       18,740         482      X     28-5284        482
                                                                 778          20      X   X 28-5284         20
CABOT OIL & GAS CORP           COM            127097103       61,841       1,984      X     28-5284       1448                 536
                                                             119,288       3,827      X   X 28-5284       3808                  19
                                                              97,874       3,140      X     28-13605       663                2477
                                                               1,247          40      X     28-13663                            40
CACI INTL INC                  NOTE  2.125% 5 127190AD8      248,000       2,000      X     28-13605      2000
CACI INTL INC                  CL A           127190304       92,127       1,479      X     28-5284                           1479
                                                             172,855       2,775      X     28-13605      2775
CADENCE DESIGN SYSTEM INC      COM            127387108      151,292      12,778      X   X 28-5284       2218               10560
CALAMOS GBL DYN INCOME FUND    COM            12811L107       22,167       2,519      X     28-5284       2519
                                                              13,200       1,500      X   X 28-5284       1500
CALAMOS CONV & HIGH INCOME F   COM SHS        12811P108       37,004       2,900      X     28-5284       2900
                                                              15,312       1,200      X     28-13605      1200
CALAMOS CONV OPP AND INC FD    SH BEN INT     128117108       38,340       3,000      X     28-5284       3000
                                                              23,004       1,800      X   X 28-13605      1800
CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101       17,000       1,700      X     28-5284       1700
CALGON CARBON CORP             COM            129603106      156,100      10,000      X     28-5284      10000
                                                           2,991,329     191,629      X   X 28-5284       1329              190300
CALIFORNIA WTR SVC GROUP       COM            130788102       18,210       1,000      X     28-5284       1000
                                                             127,470       7,000      X     28-13605      7000
CALLAWAY GOLF CO               COM            131193104          676         100      X     28-5284        100
               COLUMN TOTAL                                5,042,977






                                                                                                                   FILE NO. 28-1235
 PAGE    50 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CALPINE CORP                   COM NEW        131347304      184,147      10,700      X     28-5284       7800                2900
                                                             173,356      10,073      X   X 28-5284       3473                6600
CALUMET SPECIALTY PRODS PTNR   UT LTD PARTNER 131476103       79,260       3,000      X     28-5284       3000
                                                              26,420       1,000      X   X 28-5284                           1000
CAMAC ENERGY INC               COM            131745101       10,240      10,240      X     28-5284      10240
CAMBREX CORP                   COM            132011107          350          50      X     28-5284         50
CAMDEN NATL CORP               COM            133034108       35,150       1,000      X   X 28-5284                           1000
CAMDEN PPTY TR                 SH BEN INT     133131102      238,344       3,625      X     28-5284       3625
                                                              27,352         416      X   X 28-5284        416
CAMECO CORP                    COM            13321L108      176,970       8,235      X     28-5284       2292                5943
                                                             380,953      17,727      X   X 28-5284       9200                8527
CAMERON INTERNATIONAL CORP     COM            13342B105      411,651       7,792      X     28-5284       6704                1088
                                                             451,485       8,546      X   X 28-5284       6564                1982
                                                             203,712       3,856      X     28-13605       969                2887
                                                               5,811         110      X   X 28-13605       110
                                                               1,585          30      X     28-13663                            30
CAMPBELL SOUP CO               COM            134429109    6,006,479     177,444      X     28-5284     175519                1925
                                                         181,414,370   5,359,361      X   X 28-5284     129976             5229385
                                                           3,176,992      93,855      X     28-13605     91716                2139
                                                             837,381      24,738      X   X 28-13605     24738
                                                              61,370       1,813      X     28-13663      1813
                                                              88,755       2,622      X   X 28-13663      2622
CDN IMPERIAL BK OF COMMERCE    COM            136069101      130,033       1,700      X     28-5284       1700
                                                               9,944         130      X   X 28-5284                            130
CANADIAN NATL RY CO            COM            136375102      718,285       9,043      X     28-5284       8966                  77
                                                           2,379,643      29,959      X   X 28-5284       7675               22284
                                                              32,169         405      X     28-13605       405
                                                           1,194,151      15,034      X   X 28-13605     15034
               COLUMN TOTAL                              198,456,358






                                                                                                                   FILE NO. 28-1235
 PAGE    51 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CANADIAN NAT RES LTD           COM            136385101      854,850      25,764      X     28-5284       7308               18456
                                                             396,667      11,955      X   X 28-5284       8250                3705
                                                             138,162       4,164      X     28-13605      4164
                                                           1,148,128      34,603      X   X 28-13605     34603
                                                              65,232       1,966      X   X 28-13663      1966
CANADIAN PAC RY LTD            COM            13645T100       31,519         415      X     28-5284        415
                                                             592,410       7,800      X   X 28-5284       1280                6520
                                                               5,317          70      X     28-13605        70
CANON INC                      ADR            138006309      168,669       3,539      X     28-5284       2986                 553
                                                             222,048       4,659      X   X 28-5284       1093                3566
                                                               5,624         118      X     28-13605       118
                                                               2,478          52      X   X 28-13605        52
CANTEL MEDICAL CORP            COM            138098108       17,111         682      X     28-5284        682
                                                               2,509         100      X   X 28-5284        100
                                                             139,375       5,555      X     28-13605      5555
CAPITAL ONE FINL CORP          COM            14040H105   12,009,183     215,450      X     28-5284     208370                7080
                                                           4,088,696      73,353      X   X 28-5284      64599                8754
                                                           2,136,347      38,327      X     28-13605     32076                6251
                                                             715,646      12,839      X   X 28-13605     12839
                                                             146,986       2,637      X     28-13663      2453                 184
                                                             300,996       5,400      X   X 28-13663      5400
CAPITAL SR LIVING CORP         COM            140475104      148,893      16,114      X     28-13605     16114
CAPITALSOURCE INC              COM            14055X102        8,903       1,349      X   X 28-5284       1349
                                                               6,600       1,000      X     28-13605      1000
CAPSTONE TURBINE CORP          COM            14067D102        6,630       6,500      X     28-5284       6500
CAPSTEAD MTG CORP              PFD B CV $1.26 14067E308       21,870       1,500      X   X 28-5284       1500
CAPSTEAD MTG CORP              COM NO PAR     14067E506       93,160       7,106      X     28-5284       7106
                                                              22,287       1,700      X   X 28-5284       1700
                                                               3,933         300      X   X 28-13605       300
CARBO CERAMICS INC             COM            140781105       27,206         258      X     28-5284        258
                                                             131,391       1,246      X     28-13605      1246
                                                               1,160          11      X   X 28-13605        11
               COLUMN TOTAL                               23,659,986






                                                                                                                   FILE NO. 28-1235
 PAGE    52 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CARDINAL FINL CORP             COM            14149F109        5,933         525      X   X 28-13605       525
CARDINAL HEALTH INC            COM            14149Y108    7,484,543     173,615      X     28-5284     169916                3699
                                                             810,425      18,799      X   X 28-5284      14545                4254
                                                             227,750       5,283      X     28-13605      1299                3984
                                                              61,906       1,436      X   X 28-13605      1400                  36
                                                               5,561         129      X     28-13663                           129
CARDIONET INC                  COM            14159L103        3,080       1,000      X     28-5284       1000
CARDTRONICS INC                COM            14161H108      544,898      20,758      X     28-13605     20758
CAREFUSION CORP                COM            14170T101       83,806       3,232      X     28-5284       1413                1819
                                                             443,766      17,114      X   X 28-5284       3610               13504
                                                             317,228      12,234      X     28-13605      9735                2499
                                                                 467          18      X   X 28-13605                            18
                                                               5,368         207      X     28-13663                           207
CARIBOU COFFEE INC             COM            142042209      181,852       9,756      X     28-13605      9756
CARLISLE COS INC               COM            142339100      499,200      10,000      X     28-5284      10000
                                                             442,491       8,864      X   X 28-5284       6694                2170
CARMAX INC                     COM            143130102      217,498       6,277      X     28-5284       3778                2499
                                                           1,101,385      31,786      X   X 28-5284      27333                4453
                                                             355,890      10,271      X     28-13605      7751                2520
                                                                 693          20      X     28-13663                            20
CARNIVAL PLC                   ADR            14365C103        2,498          78      X     28-5284         78
CARNIVAL CORP                  PAIRED CTF     143658300    1,032,334      32,180      X     28-5284      20415               11765
                                                             973,532      30,347      X   X 28-5284      20061               10286
                                                             206,146       6,426      X     28-13605      1510                4916
                                                              20,980         654      X   X 28-13605       654
                                                               1,027          32      X     28-13663                            32
                                                              39,330       1,226      X   X 28-13663      1226
CARRIAGE SVCS INC              COM            143905107      130,660      17,306      X     28-5284      17306
CARPENTER TECHNOLOGY CORP      COM            144285103    4,992,770      95,592      X     28-5284      19000               76592
                                                           8,630,120     165,233      X   X 28-5284     150433               14800
CARRIZO OIL & CO INC           NOTE  4.375% 6 144577AA1      198,750       2,000      X     28-5284       2000
               COLUMN TOTAL                               29,021,887






                                                                                                                   FILE NO. 28-1235
 PAGE    53 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CASCADE CORP                   COM            147195101        1,153          23      X     28-13605        23
CASEYS GEN STORES INC          COM            147528103      113,138       2,040      X     28-5284                           2040
                                                             310,798       5,604      X   X 28-5284        100                5504
CASH AMER INTL INC             COM            14754D100       62,069       1,295      X     28-5284       1095                 200
                                                               4,841         101      X   X 28-5284        101
                                                             440,860       9,198      X     28-13605      9198
CASTLE A M & CO                COM            148411101        1,392         110      X     28-5284                            110
                                                              60,088       4,750      X   X 28-5284                           4750
                                                             186,423      14,737      X     28-13605     14737
CATALYST HEALTH SOLUTIONS IN   COM            14888B103      122,617       1,924      X     28-5284       1924
                                                             117,901       1,850      X   X 28-5284       1850
                                                           2,367,251      37,145      X     28-13605     30999                6146
                                                             193,038       3,029      X   X 28-13605      3029
CATERPILLAR INC DEL            COM            149123101   43,254,470     406,069      X     28-5284     387854               18215
                                                          15,776,038     148,104      X   X 28-5284     140425                7679
                                                          44,421,183     417,022      X     28-13605    387706               29316
                                                          10,653,491     100,014      X   X 28-13605     98308       106      1600
                                                             122,178       1,147      X     28-13663      1060                  87
                                                           1,746,928      16,400      X   X 28-13663     16400
CATO CORP NEW                  CL A           149205106       38,558       1,395      X     28-5284       1200                 195
CAVCO INDS INC DEL             COM            149568107      377,857       8,112      X     28-13605      8112
CAVIUM INC                     COM            14964U108       15,130         489      X     28-5284        489
                                                              86,013       2,780      X   X 28-5284         40                2740
                                                               3,094         100      X     28-13605       100
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106       44,385       1,500      X     28-5284       1500
                                                             170,143       5,750      X   X 28-5284       3090                2660
CELANESE CORP DEL              COM SER A      150870103   30,430,680     658,958      X     28-5284     651074                7884
                                                           7,289,282     157,845      X   X 28-5284     155890                1955
                                                          24,135,931     522,649      X     28-13605    514024                8625
                                                           5,011,915     108,530      X   X 28-13605    104181       142      4207
                                                             150,916       3,268      X     28-13663      3268
                                                              39,253         850      X   X 28-13663       850
               COLUMN TOTAL                              187,749,014






                                                                                                                   FILE NO. 28-1235
 PAGE    54 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CELL THERAPEUTICS INC          COM NO PAR NEW 150934602       80,215      61,000      X     28-5284      61000
CELGENE CORP                   COM            151020104   11,610,868     149,779      X     28-5284     147761                2018
                                                           5,825,938      75,154      X   X 28-5284      64423               10731
                                                           5,140,739      66,315      X     28-13605     60587                5728
                                                           1,019,466      13,151      X   X 28-13605     13115        36
                                                              99,613       1,285      X     28-13663       220                1065
                                                             135,195       1,744      X   X 28-13663      1744
CELGENE CORP                   RIGHT 12/31/20 151020112           66          34      X   X 28-5284         34
CEMEX SAB DE CV                SPON ADR NEW   151290889        5,060         652      X     28-5284        652
                                                             142,008      18,300      X   X 28-5284      18300
CENTENE CORP DEL               COM            15135B101       35,699         729      X     28-5284        729
                                                              47,697         974      X   X 28-5284        974
CENOVUS ENERGY INC             COM            15135U109       82,662       2,300      X     28-5284       2300
                                                             663,452      18,460      X   X 28-5284       5835               12625
                                                               3,594         100      X     28-13605       100
                                                              21,564         600      X     28-13663       600
CENTERPOINT ENERGY INC         COM            15189T107      357,267      18,117      X     28-5284      15232                2885
                                                             403,629      20,468      X   X 28-5284      19746                 722
                                                             154,723       7,846      X     28-13605      2911                4935
                                                               9,564         485      X   X 28-13605       485
                                                               4,753         241      X     28-13663                           241
                                                              38,750       1,965      X   X 28-13663      1965
CENTERSTATE BANKS INC          COM            15201P109        2,448         300      X     28-5284        300
CENTRAIS ELETRICAS BRASILEIR   SPON ADR PFD B 15234Q108       28,382       2,207      X     28-5284        177                2030
CENTRAIS ELETRICAS BRASILEIR   SPONSORED ADR  15234Q207       58,566       6,257      X     28-5284       1434                4823
                                                             104,252      11,138      X   X 28-5284                          11138
CENTRAL EUROPE & RUSSIA FD I   COM            153436100       20,977         599      X     28-5284        599
CENTRAL FD CDA LTD             CL A           153501101    1,416,653      64,540      X     28-5284      64540
                                                             120,725       5,500      X   X 28-5284       5500
CENTRAL VT PUB SVC CORP        COM            155771108        9,856         280      X     28-5284        200                  80
                                                               7,040         200      X   X 28-13605       200
               COLUMN TOTAL                               27,651,421






                                                                                                                   FILE NO. 28-1235
 PAGE    55 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CENTRAL VA BANKSHARES INC      COM            155792104        1,100       1,000      X     28-5284       1000
CENTURY ALUM CO                COM            156431108        3,286         370      X     28-5284                            370
CEPHEID                        COM            15670R107       41,830       1,000      X     28-5284       1000
                                                              21,626         517      X   X 28-5284        517
                                                             334,975       8,008      X     28-13605      8008
CENTURYLINK INC                COM            156700106    7,697,766     199,166      X     28-5284     183972               15194
                                                           6,306,984     163,182      X   X 28-5284     160014                3168
                                                           2,027,270      52,452      X     28-13605     45349                7103
                                                             610,361      15,792      X   X 28-13605     14892                 900
                                                              18,707         484      X     28-13663       460                  24
                                                              85,378       2,209      X   X 28-13663      1500                 709
CERADYNE INC                   COM            156710105      117,216       3,600      X   X 28-5284       3600
CERNER CORP                    COM            156782104      613,393       8,054      X     28-5284       3618                4436
                                                             951,467      12,493      X   X 28-5284       5634                6859
                                                             190,248       2,498      X     28-13605       722                1776
                                                              33,282         437      X     28-13663                           437
CHARLES RIV LABS INTL INC      COM            159864107       16,168         448      X     28-5284        448
                                                              24,613         682      X   X 28-5284        682
CHARMING SHOPPES INC           COM            161133103          885         150      X   X 28-5284        150
CHART INDS INC                 COM PAR $0.01  16115Q308       11,000         150      X     28-5284        150
                                                               4,180          57      X     28-13605        57
CHARTER COMMUNICATIONS INC D   CL A NEW       16117M305       30,329         478      X   X 28-5284        478
CHECKPOINT SYS INC             COM            162825103       14,202       1,259      X     28-5284       1009                 250
CHEESECAKE FACTORY INC         COM            163072101        1,910          65      X     28-5284         65
                                                             158,118       5,380      X   X 28-5284                           5380
CHEMED CORP NEW                COM            16359R103       12,536         200      X     28-5284        200
                                                              53,403         852      X   X 28-5284        852
                                                              72,897       1,163      X     28-13605      1163
CHEMICAL FINL CORP             COM            163731102      236,463      10,088      X     28-13605     10088
               COLUMN TOTAL                               19,691,593






                                                                                                                   FILE NO. 28-1235
 PAGE    56 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHEMTURA CORP                  COM NEW        163893209           85           5      X     28-5284          5
                                                                  17           1      X   X 28-13605                             1
CHENIERE ENERGY INC            COM NEW        16411R208        7,490         500      X   X 28-5284        500
CHESAPEAKE ENERGY CORP         NOTE  2.250%12 165167CB1      598,000       8,000      X   X 28-13605      8000
CHESAPEAKE ENERGY CORP         COM            165167107    1,932,424      83,402      X     28-5284      79465                3937
                                                           2,844,674     122,774      X   X 28-5284     121744                1030
                                                             320,464      13,831      X     28-13605      6277                7554
                                                              44,023       1,900      X   X 28-13605      1900
                                                                 950          41      X     28-13663                            41
                                                              34,755       1,500      X   X 28-13663      1500
CHESAPEAKE ENERGY CORP         PFD CONV       165167842      248,400       2,700      X     28-5284       2700
                                                             184,000       2,000      X     28-13663      2000
CHESAPEAKE GRANITE WASH TR     COM SH BEN INT 165185109       39,242       1,500      X     28-5284       1500
CHESAPEAKE UTILS CORP          COM            165303108       26,728         650      X     28-5284        650
                                                             279,369       6,794      X   X 28-5284       5594                1200
                                                              39,599         963      X     28-13605       963
CHEVRON CORP NEW               COM            166764100  272,951,085   2,545,948      X     28-5284    2512452               33496
                                                         192,796,601   1,798,308      X   X 28-5284    1706827               91481
                                                         100,896,403     941,110      X     28-13605    836803              104307
                                                          30,186,262     281,562      X   X 28-13605    262483       175     18904
                                                           2,463,364      22,977      X     28-13663     22268                 709
                                                           2,752,938      25,678      X   X 28-13663     25678
CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY S 167250109      339,171       7,853      X     28-5284                           7853
                                                             169,780       3,931      X   X 28-5284       2389                1542
                                                              15,117         350      X     28-13605       350
                                                              12,439         288      X     28-13663                           288
CHICOS FAS INC                 COM            168615102      498,285      32,999      X     28-5284       3853               29146
                                                             112,163       7,428      X   X 28-5284       3193                4235
                                                              20,008       1,325      X   X 28-13605      1325
                                                              16,006       1,060      X     28-13663                          1060
CHILDRENS PL RETAIL STORES I   COM            168905107       25,835         500      X   X 28-5284                            500
               COLUMN TOTAL                              609,855,677






                                                                                                                   FILE NO. 28-1235
 PAGE    57 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHIMERA INVT CORP              COM            16934Q109       50,374      17,800      X     28-5284      17800
                                                               8,490       3,000      X   X 28-5284       3000
CHINA FD INC                   COM            169373107       24,721       1,061      X     28-5284       1061
                                                              10,788         463      X   X 28-5284        330                 133
CHINA LIFE INS CO LTD          SPON ADR REP H 16939P106    1,076,271      27,689      X     28-5284       2225               25464
                                                             422,323      10,865      X   X 28-5284                          10865
                                                              28,258         727      X     28-13663                           727
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109      255,296       4,635      X     28-5284       4635
                                                             145,962       2,650      X   X 28-5284       1500                1150
                                                              61,965       1,125      X     28-13605      1125
                                                              22,032         400      X   X 28-13605       400
CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108       32,942         303      X   X 28-5284        303
CHINA TELECOM CORP LTD         SPON ADR H SHS 169426103       29,317         534      X     28-5284        534
CHINA NEPSTAR CHAIN DRUGSTOR   SPONSORED ADR  16943C109        6,990       3,000      X   X 28-5284                           3000
CHINA UNICOM (HONG KONG) LTD   SPONSORED ADR  16945R104          957          57      X     28-5284         57
                                                                 151           9      X   X 28-5284          9
                                                              16,790       1,000      X   X 28-13605      1000
CHINACAST EDU CORP             COM            16946T109       56,663      13,364      X     28-13605     13364
CHIPOTLE MEXICAN GRILL INC     COM            169656105    3,511,200       8,400      X     28-5284       8400
                                                           1,200,078       2,871      X   X 28-5284       2622                 249
                                                           3,811,742       9,119      X     28-13605      8701                 418
                                                             699,314       1,673      X   X 28-13605      1658         5        10
                                                              37,620          90      X     28-13663        90
                                                              20,900          50      X   X 28-13663        50
CHIQUITA BRANDS INTL INC       NOTE  4.250% 8 170032AT3      186,500       2,000      X     28-5284       2000
CHIQUITA BRANDS INTL INC       COM            170032809      149,430      17,000      X     28-5284      17000
CHRISTOPHER & BANKS CORP       COM            171046105          549         295      X     28-5284                            295
               COLUMN TOTAL                               11,867,623






                                                                                                                   FILE NO. 28-1235
 PAGE    58 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CHUBB CORP                     COM            171232101   94,400,252   1,365,942      X     28-5284    1357026                8916
                                                          44,265,646     640,510      X   X 28-5284     628361               12149
                                                          45,934,722     664,661      X     28-13605    609378               55283
                                                          14,142,048     204,631      X   X 28-13605    195841       121      8669
                                                             623,925       9,028      X     28-13663      8786                 242
                                                             694,486      10,049      X   X 28-13663     10049
CHURCH & DWIGHT INC            COM            171340102   15,302,271     311,085      X     28-5284     311085
                                                           2,138,338      43,471      X   X 28-5284      10522               32949
                                                             148,554       3,020      X     28-13605      3020
                                                             992,654      20,180      X   X 28-13605     20180
                                                          20,659,800     420,000      X     28-11439    420000
CHURCHILL DOWNS INC            COM            171484108    1,328,072      23,758      X     28-5284      23758
                                                             371,511       6,646      X   X 28-5284       6646
                                                             219,296       3,923      X     28-13605      3923
CIBER INC                      COM            17163B102        1,611         380      X     28-5284                            380
CIENA CORP                     COM NEW        171779309        2,186         135      X     28-5284                            135
                                                               1,457          90      X   X 28-5284         90
                                                               2,526         156      X     28-13605       156
                                                               1,457          90      X   X 28-13605        90
CIMAREX ENERGY CO              COM            171798101      540,969       7,168      X     28-5284       6688                 480
                                                             220,976       2,928      X   X 28-5284       2033                 895
CINCINNATI BELL INC NEW        COM            171871106       20,502       5,100      X     28-5284       5100
                                                                 129          32      X   X 28-5284         32
CINCINNATI BELL INC NEW        PFD CV DEP1/20 171871403       83,100       2,000      X     28-5284       2000
                                                             151,865       3,655      X   X 28-5284       3655
CINCINNATI FINL CORP           COM            172062101   11,407,591     330,559      X     28-5284     178956              151603
                                                           1,993,056      57,753      X   X 28-5284      57219                 534
                                                              81,478       2,361      X     28-13605       541                1820
                                                               1,484          43      X   X 28-13605        43
                                                               3,796         110      X     28-13663                           110
CINEDIGM DIGITAL CINEMA CORP   COM            172407108        4,394       2,600      X   X 28-5284       2600
CIRCOR INTL INC                COM            17273K109       13,308         400      X     28-5284        400
                                                              33,270       1,000      X   X 28-5284        100                 900
               COLUMN TOTAL                              255,786,730






                                                                                                                   FILE NO. 28-1235
 PAGE    59 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CISCO SYS INC                  COM            17275R102   89,938,577   4,252,415      X     28-5284    4145416              106999
                                                          47,769,940   2,258,626      X   X 28-5284    2154538              104088
                                                          65,103,761   3,078,192      X     28-13605   2770446              307746
                                                          19,527,626     923,292      X   X 28-13605    902615       518     20159
                                                             386,622      18,280      X     28-13663     15801                2479
                                                             769,945      36,404      X   X 28-13663     35101                1303
CIRRUS LOGIC INC               COM            172755100      115,739       4,863      X   X 28-5284        513                4350
                                                               2,737         115      X     28-13605       115
CINTAS CORP                    COM            172908105    1,117,580      28,568      X     28-5284      28112                 456
                                                             728,493      18,622      X   X 28-5284      16315                2307
                                                             405,127      10,356      X     28-13605      9106                1250
CITIZENS & NORTHN CORP         COM            172922106      144,460       7,223      X     28-5284       7223
                                                             460,000      23,000      X   X 28-5284      23000
                                                             301,040      15,052      X     28-13605     15052
CITIGROUP INC                  *W EXP 10/28/2 172967234        2,580      30,000      X   X 28-5284      30000
CITIGROUP INC                  UNIT 99/99/999 172967416      626,357       6,050      X     28-5284       6050
CITIGROUP INC                  COM NEW        172967424   15,799,432     432,269      X     28-5284     407867               24402
                                                           4,259,062     116,527      X   X 28-5284     103883               12644
                                                          26,853,833     734,715      X     28-13605    622223              112492
                                                           4,582,529     125,377      X   X 28-13605    119881       180      5316
                                                              49,635       1,358      X     28-13663      1043                 315
                                                              28,692         785      X   X 28-13663       785
CITIZENS REPUBLIC BANCORP IN   COM NEW        174420307       51,466       3,297      X     28-5284       3297
                                                              11,708         750      X   X 28-5284        750
CITRIX SYS INC                 COM            177376100    1,892,183      23,979      X     28-5284       6675               17304
                                                             788,705       9,995      X   X 28-5284       1893                8102
                                                             268,610       3,404      X     28-13605      1299                2105
                                                              22,726         288      X   X 28-13605       288
                                                              42,138         534      X     28-13663                           534
CITY HLDG CO                   COM            177835105      101,267       2,915      X     28-13605      2915
CITY NATL CORP                 COM            178566105      282,026       5,375      X     28-5284       5375
                                                              32,112         612      X   X 28-5284        312                 300
                                                              13,118         250      X   X 28-13605       250
               COLUMN TOTAL                              282,479,826






                                                                                                                   FILE NO. 28-1235
 PAGE    60 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CLARCOR INC                    COM            179895107      360,812       7,350      X     28-5284       6000                1350
                                                             217,469       4,430      X   X 28-5284                           4430
                                                             181,191       3,691      X     28-13605      3691
                                                              34,363         700      X   X 28-13605       700
CLAYMORE EXCHANGE TRD FD TR    GUGG BRIC ETF  18383M100       35,532         900      X   X 28-5284        300                 600
CLAYMORE EXCHANGE TRD FD TR    GUG MULTI ASSE 18383M506       11,646         533      X     28-5284        533
                                                              43,700       2,000      X   X 28-5284       2000
CLAYMORE EXCHANGE TRD FD TR    GUGGENHEIM SOL 18383Q739       47,272       1,900      X     28-5284       1900
                                                               4,976         200      X   X 28-5284        200
CLEAN HARBORS INC              COM            184496107       32,992         490      X     28-5284        490
                                                               6,733         100      X   X 28-5284        100
CLEAN ENERGY FUELS CORP        COM            184499101        4,256         200      X     28-5284        200
                                                              88,312       4,150      X   X 28-5284       4150
                                                               5,320         250      X     28-13605       250
CLEAR CHANNEL OUTDOOR HLDGS    CL A           18451C109        2,665         334      X     28-5284        334
                                                                 966         121      X   X 28-5284        121
CLEARBRIDGE ENERGY MLP FD IN   COM            184692101       57,560       2,439      X     28-5284       2439
                                                               1,888          80      X     28-13605        80
CLIFFS NATURAL RESOURCES INC   COM            18683K101      675,008       9,746      X     28-5284       8391                1355
                                                             409,327       5,910      X   X 28-5284       5831                  79
                                                             156,112       2,254      X     28-13605       812                1442
                                                              77,710       1,122      X   X 28-13605      1122
                                                               1,732          25      X     28-13663                            25
CLOROX CO DEL                  COM            189054109   15,920,369     231,569      X     28-5284     229369                2200
                                                           6,217,819      90,441      X   X 28-5284      85104                5337
                                                             339,831       4,943      X     28-13605      3335                1608
                                                             458,906       6,675      X   X 28-13605      6175                 500
                                                             209,000       3,040      X     28-13663      3000                  40
                                                             206,250       3,000      X   X 28-13663      3000
CLOUD PEAK ENERGY INC          COM            18911Q102        2,294         144      X   X 28-5284        144
               COLUMN TOTAL                               25,812,011






                                                                                                                   FILE NO. 28-1235
 PAGE    61 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COACH INC                      COM            189754104   14,947,266     193,417      X     28-5284     171053               22364
                                                          10,255,752     132,709      X   X 28-5284     112590               20119
                                                           2,005,571      25,952      X     28-13605     22442                3510
                                                             546,138       7,067      X   X 28-13605      6567                 500
                                                             174,653       2,260      X     28-13663      1585                 675
                                                             209,042       2,705      X   X 28-13663      2705
COBALT INTL ENERGY INC         COM            19075F106       36,847       1,227      X   X 28-5284       1227
COCA COLA HELLENIC BTTLG CO    SPONSORED ADR  1912EP104        3,894         200      X     28-5284        200
COCA COLA CO                   COM            191216100  185,943,168   2,512,406      X     28-5284    2444801               67605
                                                         110,125,104   1,487,976      X   X 28-5284    1422705               65271
                                                          65,260,686     881,782      X     28-13605    820055               61727
                                                          22,591,997     305,256      X   X 28-13605    289666       206     15384
                                                           1,525,346      20,610      X     28-13663     16977                3633
                                                           3,222,321      43,539      X   X 28-13663     43539
COCA COLA ENTERPRISES INC NE   COM            19122T109      956,327      33,438      X     28-5284      32202                1236
                                                             232,489       8,129      X   X 28-5284       4140                3989
                                                           9,345,279     326,758      X     28-13605    249267               77491
                                                           1,130,329      39,522      X   X 28-13605     39349       173
COCA COLA FEMSA S A B DE C V   SPON ADR REP L 191241108       11,438         108      X   X 28-5284        108
CODORUS VY BANCORP INC         COM            192025104       39,446       3,522      X     28-5284       2199                1323
COEUR D ALENE MINES CORP IDA   COM NEW        192108504       11,870         500      X     28-5284        500
                                                              28,488       1,200      X   X 28-5284       1200
                                                             126,985       5,349      X     28-13605      5349
                                                               2,374         100      X   X 28-13605       100
COGENT COMM GROUP INC          COM NEW        19239V302      181,317       9,503      X     28-13605      9503
COGNEX CORP                    COM            192422103       28,720         678      X     28-5284        398                 280
                                                               3,939          93      X   X 28-5284         93
                                                               8,091         191      X     28-13605       191
               COLUMN TOTAL                              428,954,877






                                                                                                                   FILE NO. 28-1235
 PAGE    62 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102    4,761,897      61,883      X     28-5284      41044               20839
                                                           2,627,073      34,140      X   X 28-5284      18550               15590
                                                             452,466       5,880      X     28-13605      2521                3359
                                                              18,237         237      X   X 28-13605       237
                                                             116,195       1,510      X     28-13663       800                 710
                                                             106,191       1,380      X   X 28-13663      1380
COHEN & STEERS INC             COM            19247A100        4,594         144      X     28-13605       144
COHEN & STEERS QUALITY RLTY    COM            19247L106       23,617       2,405      X     28-5284       2405
                                                               9,957       1,014      X   X 28-5284       1014
                                                              21,133       2,152      X     28-13605      2152
COHEN & STEERS REIT & PFD IN   COM            19247X100       57,071       3,500      X     28-5284       3500
                                                              60,332       3,700      X   X 28-5284       3700
COHERENT INC                   COM            192479103       33,656         577      X     28-5284        577
                                                               7,700         132      X   X 28-5284        132
                                                             197,855       3,392      X     28-13605      3392
COHEN & STEERS INFRASTRUCTUR   COM            19248A109       32,314       1,836      X     28-5284       1836
                                                             102,133       5,803      X   X 28-5284       5803
                                                              14,467         822      X     28-13605       822
COHEN & STEERS GLOBAL INC BL   COM            19248M103       22,845       2,135      X   X 28-5284       2135
COHU INC                       COM            192576106        1,933         170      X     28-5284                            170
                                                               9,096         800      X   X 28-5284                            800
                                                               1,933         170      X     28-13605       170
COINSTAR INC                   COM            19259P300      663,335      10,438      X     28-5284        500                9938
                                                              98,058       1,543      X   X 28-5284                           1543
                                                           2,528,718      39,791      X     28-13605     32752                7039
                                                              12,837         202      X   X 28-13605       202
                                                              23,005         362      X     28-13663                           362
COLEMAN CABLE INC              COM            193459302        6,804         700      X   X 28-5284        700
                                                              78,761       8,103      X     28-13605      8103
               COLUMN TOTAL                               12,094,213






                                                                                                                   FILE NO. 28-1235
 PAGE    63 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COLFAX CORP                    COM            194014106      736,093      20,888      X     28-5284        522               20366
                                                             267,366       7,587      X   X 28-5284                           7587
                                                           3,602,797     102,236      X     28-13605     83901               18335
                                                              18,607         528      X   X 28-13605       528
                                                              26,148         742      X     28-13663                           742
COLGATE PALMOLIVE CO           COM            194162103   54,572,387     558,114      X     28-5284     552224                5890
                                                          41,387,732     423,274      X   X 28-5284     403772               19502
                                                           2,951,489      30,185      X     28-13605     24459                5726
                                                           2,648,665      27,088      X   X 28-13605     26334                 754
                                                             425,441       4,351      X     28-13663      4130                 221
                                                             435,708       4,456      X   X 28-13663      4456
COLLECTORS UNIVERSE INC        COM NEW        19421R200       51,720       3,000      X     28-5284       3000
                                                             120,680       7,000      X   X 28-5284       7000
COLLECTIVE BRANDS INC          COM            19421W100        5,190         264      X     28-5284        264
                                                               7,785         396      X   X 28-13605       396
COLONIAL PPTYS TR              COM SH BEN INT 195872106       97,090       4,468      X     28-5284       3868                 600
                                                               2,325         107      X   X 28-5284        107
COLUMBIA SPORTSWEAR CO         COM            198516106       68,992       1,454      X   X 28-5284        420                1034
COLUMBUS MCKINNON CORP N Y     COM            199333105       29,322       1,800      X   X 28-5284                           1800
COMCAST CORP NEW               CL A           20030N101   33,768,212   1,125,232      X     28-5284    1086003               39229
                                                          14,284,280     475,984      X   X 28-5284     457500       100     18384
                                                          40,449,339   1,347,862      X     28-13605   1164746              183116
                                                           7,878,885     262,542      X   X 28-13605    251604       336     10602
                                                             235,759       7,856      X     28-13663      6560                1296
                                                             127,603       4,252      X   X 28-13663      4252
COMCAST CORP NEW               CL A SPL       20030N200   19,103,948     647,372      X     28-5284     570346               77026
                                                           5,428,837     183,966      X   X 28-5284      87826               96140
                                                             140,232       4,752      X     28-13605      4752
                                                              41,757       1,415      X   X 28-13605      1415
                                                             228,703       7,750      X     28-13663                          7750
COMERICA INC                   COM            200340107      163,806       5,062      X     28-5284       1770                3292
                                                             276,516       8,545      X   X 28-5284       1501                7044
                                                             214,644       6,633      X     28-13605      4572                2061
                                                              21,034         650      X   X 28-13605       650
               COLUMN TOTAL                              229,819,092






                                                                                                                   FILE NO. 28-1235
 PAGE    64 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COMMERCE BANCSHARES INC        COM            200525103      175,735       4,337      X     28-5284       4337
                                                           2,315,596      57,147      X   X 28-5284        802               56345
                                                             251,467       6,206      X     28-13605      6206
COMMERCEFIRST BANCORP INC      COM            200845105       35,225       2,500      X   X 28-5284                           2500
COMMERCIAL METALS CO           COM            201723103       24,083       1,625      X     28-5284       1625
                                                               3,705         250      X   X 28-5284        250
                                                             232,140      15,664      X   X 28-13605     15664
COMMERCIAL VEH GROUP INC       COM            202608105      156,593      12,825      X     28-13605     12825
COMMONWEALTH REIT              COM SH BEN INT 203233101      133,133       7,150      X     28-5284       5300                1850
                                                             204,820      11,000      X   X 28-5284       2500                8500
COMMONWEALTH REIT              CV PFD-E 7.25% 203233606          252          10      X     28-5284         10
COMMUNITY BK SYS INC           COM            203607106      158,750       5,516      X     28-5284       5516
                                                             493,750      17,156      X     28-13605     17156
                                                              28,780       1,000      X   X 28-13605      1000
COMMUNITY HEALTH SYS INC NEW   COM            203668108       24,420       1,098      X     28-5284        862                 236
                                                               2,669         120      X   X 28-13605       120
COMMUNICATIONS SYS INC         COM            203900105      127,781       9,732      X     28-13605      9732
COMMUNITY TR BANCORP INC       COM            204149108       11,706         365      X     28-5284        365
COMMVAULT SYSTEMS INC          COM            204166102      461,255       9,292      X     28-5284                           9292
                                                              69,546       1,401      X   X 28-5284         51                1350
                                                             206,701       4,164      X     28-13605      4164
                                                              16,927         341      X     28-13663                           341
CGG VERITAS                    SPONSORED ADR  204386106       13,452         452      X   X 28-5284        452
COMPANHIA SIDERURGICA NACION   SPONSORED ADR  20440W105       37,840       4,000      X   X 28-5284       4000
COMPANHIA ENERGETICA DE MINA   SP ADR N-V PFD 204409601       26,158       1,100      X   X 28-5284       1100
COMPANHIA DE SANEAMENTO BASI   SPONSORED ADR  20441A102       38,310         500      X     28-5284        500
               COLUMN TOTAL                                5,250,794






                                                                                                                   FILE NO. 28-1235
 PAGE    65 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COMPANHIA DE BEBIDAS DAS AME   SPON ADR PFD   20441W203       12,148         294      X     28-5284        294
                                                             123,175       2,981      X   X 28-5284        406                2575
COMPANIA DE MINAS BUENAVENTU   SPONSORED ADR  204448104        8,062         200      X     28-5284        200
                                                               4,031         100      X   X 28-5284        100
COMPASS MINERALS INTL INC      COM            20451N101      139,678       1,947      X     28-5284       1457                 490
                                                             312,284       4,353      X   X 28-5284        360                3993
                                                               2,870          40      X     28-13605        40
COMPASS DIVERSIFIED HOLDINGS   SH BEN INT     20451Q104       17,009       1,150      X     28-5284       1150
COMPRESSCO PARTNERS L P        COM UNIT       20467A101       13,903         800      X     28-5284        800
COMPUTER SCIENCES CORP         COM            205363104      192,484       6,429      X     28-5284       5182                1247
                                                              84,730       2,830      X   X 28-5284       2378                 452
                                                              73,084       2,441      X     28-13605       711                1730
                                                               2,994         100      X   X 28-13605       100
                                                               4,491         150      X     28-13663                           150
COMPX INTERNATIONAL INC        CL A           20563P101          696          50      X     28-5284         50
COMPUWARE CORP                 COM            205638109       13,555       1,475      X     28-5284       1025                 450
                                                               3,217         350      X   X 28-5284                            350
                                                                 956         104      X     28-13605                           104
                                                                 625          68      X     28-13663                            68
COMSTOCK MNG INC               COM            205750102      366,520     187,000      X   X 28-5284     187000
COMSTOCK RES INC               COM NEW        205768203      540,215      34,126      X     28-5284       1752               32374
                                                              74,559       4,710      X   X 28-5284                           4710
                                                              18,664       1,179      X     28-13663                          1179
COMTECH TELECOMMUNICATIONS C   COM NEW        205826209       16,355         502      X     28-5284        502
COMVERSE TECHNOLOGY INC        COM PAR $0.10  205862402          344          50      X   X 28-5284         50
CONAGRA FOODS INC              COM            205887102      912,666      34,755      X     28-5284      27806                6949
                                                           1,147,168      43,685      X   X 28-5284      43094                 591
                                                             296,423      11,288      X     28-13605      6603                4685
                                                             152,124       5,793      X   X 28-13605      5043                 750
                                                              18,723         713      X   X 28-13663       713
               COLUMN TOTAL                                4,553,753






                                                                                                                   FILE NO. 28-1235
 PAGE    66 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CON-WAY INC                    COM            205944101       20,707         635      X   X 28-5284        635
CONCHO RES INC                 COM            20605P101      281,435       2,757      X     28-5284       2757
                                                             111,778       1,095      X   X 28-5284        895                 200
                                                              28,889         283      X     28-13605        33                 250
                                                             191,196       1,873      X   X 28-13605      1873
CONCUR TECHNOLOGIES INC        COM            206708109       94,447       1,646      X     28-5284       1646
                                                             330,681       5,763      X   X 28-5284        863                4900
                                                             208,289       3,630      X   X 28-13605      3330                 300
CONMED CORP                    COM            207410101        5,377         180      X     28-5284                            180
                                                              14,935         500      X   X 28-5284        500
CONNECTICUT WTR SVC INC        COM            207797101        5,658         200      X     28-5284        200
CONOCOPHILLIPS                 COM            20825C104  112,896,057   1,485,279      X     28-5284    1458591               26688
                                                          46,218,641     608,060      X   X 28-5284     571369               36691
                                                          47,511,951     625,075      X     28-13605    559716               65359
                                                          12,918,280     169,955      X   X 28-13605    164319       140      5496
                                                           2,284,557      30,056      X     28-13663     28533                1523
                                                          10,380,458     136,567      X   X 28-13663    136567
CONSOL ENERGY INC              COM            20854P109      444,255      13,028      X     28-5284      11450                1578
                                                             323,780       9,495      X   X 28-5284       9119                 376
                                                             122,521       3,593      X     28-13605       980                2613
                                                               6,820         200      X   X 28-13605       200
                                                               1,500          44      X     28-13663                            44
CONSOLIDATED COMM HLDGS INC    COM            209034107      351,495      17,906      X     28-5284      17906
                                                               5,496         280      X   X 28-5284                            280
CONSOLIDATED EDISON INC        COM            209115104   21,433,772     366,891      X     28-5284     363806                3085
                                                          18,217,401     311,835      X   X 28-5284     301150               10685
                                                           3,798,235      65,016      X     28-13605     61489                3527
                                                           1,282,728      21,957      X   X 28-13605     21957
                                                             187,645       3,212      X     28-13663      3011                 201
                                                             525,137       8,989      X   X 28-13663      8989
CONSOLIDATED GRAPHICS INC      COM            209341106       75,975       1,679      X     28-5284                           1679
                                                             180,276       3,984      X     28-13605      3984
CONSTANT CONTACT INC           COM            210313102      202,512       6,798      X     28-13605      6798
               COLUMN TOTAL                              280,662,884






                                                                                                                   FILE NO. 28-1235
 PAGE    67 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CONSTELLATION BRANDS INC       CL A           21036P108       52,535       2,227      X     28-5284       2198                  29
                                                              20,453         867      X   X 28-5284        744                 123
                                                              58,951       2,499      X     28-13605       528                1971
                                                               1,651          70      X     28-13663                            70
CONSUMER PORTFOLIO SVCS INC    COM            210502100       37,500      30,000      X   X 28-5284      30000
CONTANGO OIL & GAS COMPANY     COM NEW        21075N204      395,286       6,710      X     28-5284                           6710
                                                              57,614         978      X   X 28-5284                            978
                                                           2,519,345      42,766      X     28-13605     35588                7178
                                                              77,820       1,321      X   X 28-13605      1321
                                                              14,374         244      X     28-13663                           244
CONTINENTAL RESOURCES INC      COM            212015101       17,164         200      X     28-5284        200
                                                              81,272         947      X   X 28-5284        947
CONVERGYS CORP                 COM            212485106    1,715,742     128,520      X     28-5284      17116              111404
                                                             341,827      25,605      X   X 28-5284      25605
                                                                 587          44      X     28-13605                            44
                                                              12,015         900      X   X 28-13605                           900
COOPER COS INC                 COM NEW        216648402      601,794       7,365      X     28-5284       7365
                                                              41,999         514      X   X 28-5284        514
                                                           7,186,966      87,957      X     28-13605     65519               22438
                                                             834,014      10,207      X   X 28-13605     10160        47
COOPER TIRE & RUBR CO          COM            216831107      228,300      15,000      X     28-5284      15000
                                                              30,440       2,000      X   X 28-5284       2000
COPANO ENERGY L L C            COM UNITS      217202100       38,378       1,075      X     28-5284       1075
                                                              87,465       2,450      X   X 28-5284       2450
COPART INC                     COM            217204106       21,065         808      X     28-5284        808
                                                              24,037         922      X   X 28-5284        922
CORE MARK HOLDING CO INC       COM            218681104      131,704       3,217      X     28-13605      3217
CORESITE RLTY CORP             COM            21870Q105      426,790      18,092      X     28-13605     18092
CORELOGIC INC                  COM            21871D103       68,854       4,219      X   X 28-5284       4219
               COLUMN TOTAL                               15,125,942






                                                                                                                   FILE NO. 28-1235
 PAGE    68 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CORN PRODS INTL INC            COM            219023108    1,519,423      26,356      X     28-5284      25576                 780
                                                           1,404,700      24,366      X   X 28-5284      21366                3000
                                                           1,593,388      27,639      X     28-13605     22092                5547
                                                               8,820         153      X   X 28-13605       153
                                                               2,421          42      X     28-13663                            42
CORNING INC                    COM            219350105    8,492,915     603,190      X     28-5284     595749                7441
                                                           5,752,694     408,572      X   X 28-5284     397321               11251
                                                           2,355,218     167,274      X     28-13605    150398               16876
                                                             721,304      51,229      X   X 28-13605     41229               10000
                                                             158,076      11,227      X     28-13663      6650                4577
                                                              37,171       2,640      X   X 28-13663      2640
CORPORATE EXECUTIVE BRD CO     COM            21988R102      595,775      13,852      X     28-5284                          13852
                                                             331,263       7,702      X   X 28-5284                           7702
                                                              97,074       2,257      X     28-13605      2257
                                                              20,602         479      X     28-13663                           479
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108       39,689       1,710      X     28-5284       1710
                                                              40,618       1,750      X   X 28-5284       1750
                                                             111,408       4,800      X     28-13605      4800
                                                              29,013       1,250      X     28-13663      1250
                                                               9,284         400      X   X 28-13663       400
CORRECTIONS CORP AMER NEW      COM NEW        22025Y407      300,273      10,995      X     28-5284       1684                9311
                                                              29,304       1,073      X   X 28-5284       1073
COST PLUS INC CALIF            COM            221485105        3,580         200      X   X 28-5284        200
COSTCO WHSL CORP NEW           COM            22160K105    7,114,725      78,356      X     28-5284      61235               17121
                                                           5,207,834      57,355      X   X 28-5284      48750                8605
                                                           1,094,866      12,058      X     28-13605      7156                4902
                                                             751,188       8,273      X   X 28-13605      8273
                                                             132,840       1,463      X     28-13663                          1463
                                                             128,119       1,411      X   X 28-13663      1411
COSTAR GROUP INC               COM            22160N109      492,672       7,135      X   X 28-5284        600                6535
                                                               2,762          40      X     28-13605        40
COTT CORP QUE                  COM            22163N106       10,972       1,665      X     28-5284       1665
COUSINS PPTYS INC              COM            222795106        9,854       1,300      X   X 28-5284                           1300
               COLUMN TOTAL                               38,599,845






                                                                                                                   FILE NO. 28-1235
 PAGE    69 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
COVANCE INC                    COM            222816100      685,062      14,383      X     28-5284       3169               11214
                                                             181,423       3,809      X   X 28-5284       1909                1900
                                                              52,202       1,096      X     28-13605      1096
                                                              59,156       1,242      X   X 28-13605      1242
                                                              51,774       1,087      X   X 28-13663      1087
COVANTA HLDG CORP              COM            22282E102       32,460       2,000      X     28-5284       2000
COVENTRY HEALTH CARE INC       COM            222862104       15,793         444      X     28-5284         59                 385
                                                              96,608       2,716      X   X 28-5284        923                1793
                                                             124,851       3,510      X     28-13605      1883                1627
                                                               6,474         182      X   X 28-13605       182
                                                               2,561          72      X     28-13663                            72
CRACKER BARREL OLD CTRY STOR   COM            22410J106       51,057         915      X     28-5284        915
                                                              19,530         350      X   X 28-5284        350
                                                              16,740         300      X     28-13605       300
CRANE CO                       COM            224399105      186,095       3,837      X     28-5284       3837
                                                              14,405         297      X   X 28-5284        297
                                                              92,150       1,900      X   X 28-13605      1900
CRAWFORD & CO                  CL B           224633107       77,881      15,894      X     28-13605     15894
CREDIT SUISSE ASSET MGMT INC   COM            224916106       74,600      20,000      X     28-5284      20000
CREDIT ACCEP CORP MICH         COM            225310101       19,697         195      X   X 28-5284        195
                                                           1,182,423      11,706      X     28-13605     11706
                                                               6,263          62      X   X 28-13605        62
CREDIT SUISSE GROUP            SPONSORED ADR  225401108    1,430,375      50,171      X     28-5284       5156               45015
                                                             512,667      17,982      X   X 28-5284        606               17376
                                                              35,923       1,260      X     28-13663                          1260
CREE INC                       COM            225447101    1,060,079      33,515      X     28-5284      21165               12350
                                                             345,210      10,914      X   X 28-5284       1919                8995
                                                               3,543         112      X     28-13605       112
                                                              12,652         400      X   X 28-13605       400
                                                              43,017       1,360      X     28-13663                          1360
CRESTWOOD MIDSTREAM PRTNERS    COM UNITS REPS 226372100       28,510       1,000      X   X 28-5284       1000
               COLUMN TOTAL                                6,521,181






                                                                                                                   FILE NO. 28-1235
 PAGE    70 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CRESUD S A C I F Y A           SPONSORED ADR  226406106        2,402         195      X     28-5284        195
                                                              12,320       1,000      X   X 28-5284       1000
CROSS A T CO                   CL A           227478104      181,684      15,090      X     28-13605     15090
CROSSTEX ENERGY L P            COM            22765U102       22,217       1,300      X   X 28-5284       1300
CROSSTEX ENERGY INC            COM            22765Y104      127,260       9,000      X     28-5284       9000
                                                              54,312       3,841      X   X 28-5284                           3841
CROWN CASTLE INTL CORP         COM            228227104      301,638       5,655      X     28-5284       4765                 890
                                                             181,249       3,398      X   X 28-5284       2860                 538
                                                              94,038       1,763      X     28-13605      1513                 250
                                                              13,442         252      X   X 28-13605       252
CROWN HOLDINGS INC             COM            228368106      596,167      16,187      X     28-5284      16187
                                                             149,088       4,048      X   X 28-5284       4048
                                                              13,811         375      X     28-13605       375
                                                               4,825         131      X   X 28-13605       131
                                                               7,366         200      X     28-13663       200
CRYOLIFE INC                   COM            228903100        1,107         210      X     28-5284                            210
CTRIP COM INTL LTD             AMERICAN DEP S 22943F100        5,561         257      X     28-5284        257
CUBESMART                      COM            229663109       68,984       5,797      X     28-5284       5797
CUBIC CORP                     COM            229669106       14,184         300      X   X 28-5284        300
CUBIST PHARMACEUTICALS INC     COM            229678107       19,852         459      X     28-5284        459
                                                              36,763         850      X   X 28-5284        850
                                                              23,615         546      X     28-13605       546
CULLEN FROST BANKERS INC       COM            229899109   11,064,829     190,150      X     28-5284     190150
                                                             100,087       1,720      X   X 28-5284       1370                 350
                                                              14,548         250      X     28-13605       250
                                                             232,760       4,000      X   X 28-13663      4000
               COLUMN TOTAL                               13,344,109






                                                                                                                   FILE NO. 28-1235
 PAGE    71 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
CUMMINS INC                    COM            231021106   44,663,643     372,073      X     28-5284     351981               20092
                                                          14,165,800     118,009      X   X 28-5284     103824               14185
                                                          40,194,194     334,840      X     28-13605    305100               29740
                                                           7,417,992      61,796      X   X 28-13605     59649        91      2056
                                                             595,879       4,964      X     28-13663      3535                1429
                                                             157,613       1,313      X   X 28-13663      1313
CURIS INC                      COM            231269101      233,770      48,500      X     28-5284      48500
CURRENCYSHARES AUSTRALIAN DL   AUSTRALIAN DOL 23129U101       31,161         300      X   X 28-5284        300
CURRENCYSHARES SWISS FRANC T   SWISS FRANC SH 23129V109       10,928         100      X     28-13605       100
CURTISS WRIGHT CORP            COM            231561101       28,720         776      X     28-5284        456                 320
                                                              25,907         700      X   X 28-5284                            700
CYBERONICS INC                 COM            23251P102       15,252         400      X   X 28-5284                            400
CYMER INC                      COM            232572107       19,050         381      X     28-5284        181                 200
                                                               2,250          45      X   X 28-5284         45
CYPRESS SEMICONDUCTOR CORP     COM            232806109      125,743       8,045      X   X 28-5284       8045
                                                               1,563         100      X     28-13605       100
CYTEC INDS INC                 COM            232820100        8,024         132      X     28-5284        132
                                                              36,596         602      X   X 28-5284        503                  99
DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100    1,294,063      28,230      X     28-5284      28230
                                                             120,972       2,639      X   X 28-5284       2639
                                                             162,732       3,550      X     28-13605      3550
                                                              68,760       1,500      X   X 28-13605      1500
                                                              45,840       1,000      X     28-13663      1000
DCT INDUSTRIAL TRUST INC       COM            233153105       71,284      12,082      X     28-5284      12082
                                                                  89          15      X   X 28-5284         15
DDR CORP                       COM            23317H102       44,004       3,014      X     28-5284       3014
                                                              16,250       1,113      X   X 28-5284       1113
DFC GLOBAL CORP                COM            23324T107      138,506       7,340      X   X 28-5284                           7340
DNP SELECT INCOME FD           COM            23325P104      104,878      10,384      X     28-5284      10384
                                                              32,320       3,200      X   X 28-5284       3200
               COLUMN TOTAL                              109,833,783






                                                                                                                   FILE NO. 28-1235
 PAGE    72 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
D R HORTON INC                 COM            23331A109       19,797       1,305      X     28-5284        351                 954
                                                              36,423       2,401      X   X 28-5284       2339                  62
                                                              58,920       3,884      X     28-13605       830                3054
DST SYS INC DEL                COM            233326107       10,846         200      X     28-5284        200
                                                              16,161         298      X   X 28-5284        298
DTE ENERGY CO                  COM            233331107      753,031      13,684      X     28-5284      13018                 666
                                                             229,970       4,179      X   X 28-5284       4009                 170
                                                             166,741       3,030      X     28-13605      1042                1988
                                                              11,556         210      X   X 28-13605       210
                                                               2,366          43      X     28-13663                            43
                                                              39,952         726      X   X 28-13663       726
DSW INC                        CL A           23334L102       25,413         464      X   X 28-5284        464
                                                             181,672       3,317      X     28-13605      3317
DTS INC                        COM            23335C101       20,308         672      X     28-5284        672
                                                               4,321         143      X   X 28-5284        143
DWS MULTI MKT INCOME TR        SHS            23338L108       10,330       1,000      X     28-5284       1000
                                                              12,396       1,200      X   X 28-5284       1200
                                                               1,808         175      X   X 28-13605       175
DWS GLOBAL HIGH INCOME FD      COM            23338W104       20,200       2,500      X     28-5284       2500
DWS HIGH INCOME OPPORT FD IN   COM NEW        23339M204       34,256       2,137      X     28-5284       2137
DAKTRONICS INC                 COM            234264109       68,542       7,710      X     28-5284       4000                3710
                                                             282,035      31,725      X   X 28-5284      31725
DANA HLDG CORP                 COM            235825205          636          41      X     28-5284         41
                                                              18,600       1,200      X   X 28-5284                           1200
DANAHER CORP DEL               COM            235851102    6,045,536     107,956      X     28-5284      72902               35054
                                                           4,092,816      73,086      X   X 28-5284      55050               18036
                                                           3,533,488      63,098      X     28-13605     56650                6448
                                                             798,392      14,257      X   X 28-13605     12257                2000
                                                               5,096          91      X     28-13663                            91
                                                              68,768       1,228      X   X 28-13663      1228
               COLUMN TOTAL                               16,570,376






                                                                                                                   FILE NO. 28-1235
 PAGE    73 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DARDEN RESTAURANTS INC         COM            237194105   10,052,480     196,491      X     28-5284     194791                1700
                                                             496,150       9,698      X   X 28-5284       8357                1341
                                                             475,225       9,289      X     28-13605      7838                1451
                                                             168,828       3,300      X   X 28-13605      3300
                                                                 563          11      X     28-13663                            11
                                                              16,013         313      X   X 28-13663       313
DARLING INTL INC               COM            237266101   37,359,002   2,144,604      X     28-5284    2144604
                                                              30,067       1,726      X   X 28-5284       1726
DAVITA INC                     COM            23918K108    1,079,425      11,971      X     28-5284       2211                9760
                                                              90,170       1,000      X   X 28-5284        966                  34
                                                             180,250       1,999      X     28-13605       943                1056
                                                              13,976         155      X   X 28-13605       155
                                                                 992          11      X     28-13663                            11
DAWSON GEOPHYSICAL CO          COM            239359102        6,870         200      X     28-5284        200
DAYSTAR TECHNOLOGIES INC       COM NEW        23962Q308           24         112      X   X 28-5284        112
DEALERTRACK HLDGS INC          COM            242309102      223,682       7,392      X   X 28-5284                           7392
                                                              36,312       1,200      X     28-13605                          1200
                                                             222,411       7,350      X   X 28-13605      7350
DEAN FOODS CO NEW              COM            242370104       11,299         933      X     28-5284        621                 312
                                                               5,219         431      X   X 28-5284        431
                                                             314,812      25,996      X     28-13605     23865                2131
DECKERS OUTDOOR CORP           COM            243537107       14,691         233      X     28-5284        233
                                                               3,153          50      X   X 28-13605        50
DEERE & CO                     COM            244199105   22,594,723     279,292      X     28-5284     274126                5166
                                                          10,469,916     129,418      X   X 28-5284     123601                5817
                                                           4,444,646      54,940      X     28-13605     50125                4815
                                                           2,127,508      26,298      X   X 28-13605     24273        25      2000
                                                             135,912       1,680      X     28-13663      1570                 110
                                                             214,385       2,650      X   X 28-13663      2650
DELAWARE INVTS DIV & INCOME    COM            245915103       10,188       1,250      X     28-5284       1250
DELCATH SYS INC                COM            24661P104        9,420       3,000      X     28-5284       3000
               COLUMN TOTAL                               90,808,312






                                                                                                                   FILE NO. 28-1235
 PAGE    74 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DELL INC                       COM            24702R101    1,559,283      93,961      X     28-5284      86946                7015
                                                           1,654,737      99,713      X   X 28-5284      98019                1694
                                                             517,283      31,171      X     28-13605     13974               17197
                                                              72,487       4,368      X   X 28-13605      4043                 325
                                                               2,124         128      X   X 28-13663                           128
DELPHI FINL GROUP INC          CL A           247131105       67,782       1,514      X     28-5284       1154                 360
                                                              13,431         300      X   X 28-5284        300
DELTA AIR LINES INC DEL        COM NEW        247361702       48,455       4,887      X     28-5284       4886                   1
                                                              41,127       4,148      X   X 28-5284       4148
                                                               1,220         123      X     28-13605       123
DELTA NAT GAS INC              COM            247748106       13,300         350      X   X 28-5284        350
DELTIC TIMBER CORP             COM            247850100        4,430          70      X     28-5284                             70
DENBURY RES INC                COM NEW        247916208       96,364       5,286      X     28-5284        971                4315
                                                             512,391      28,107      X   X 28-5284       7434               20673
                                                             101,887       5,589      X     28-13605      1187                4402
                                                               1,148          63      X   X 28-13605        63
                                                               1,568          86      X     28-13663                            86
DELUXE CORP                    COM            248019101       28,104       1,200      X     28-5284       1200
                                                              44,615       1,905      X     28-13605      1905
DENDREON CORP                  NOTE  2.875% 1 24823QAC1      160,000       2,000      X     28-5284       2000
DENDREON CORP                  COM            24823Q107      361,034      33,884      X     28-5284      32644                1240
                                                              23,015       2,160      X   X 28-5284                           2160
                                                              10,655       1,000      X     28-13605      1000
DENTSPLY INTL INC NEW          COM            249030107      639,030      15,924      X     28-5284      15685                 239
                                                             435,571      10,854      X   X 28-5284      10784                  70
                                                              80,300       2,001      X     28-13605       423                1578
                                                              18,059         450      X   X 28-13605        50                 400
DESCARTES SYS GROUP INC        COM            249906108       87,300      10,000      X     28-5284      10000
DESTINATION MATERNITY CORP     COM            25065D100    1,621,272      87,306      X     28-5284      87306
DEUTSCHE BK AG LDN BRH         PS GOLD DL ETN 25154H749       31,902         600      X     28-5284        600
               COLUMN TOTAL                                8,249,874






                                                                                                                   FILE NO. 28-1235
 PAGE    75 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DEUTSCHE BK AG LONDON BRH      PS MTL DDL ETN 25154K858      367,200      30,000      X   X 28-5284      30000
DEVON ENERGY CORP NEW          COM            25179M103    9,019,510     126,821      X     28-5284     123323                3498
                                                           6,402,222      90,020      X   X 28-5284      84551                5469
                                                           4,406,737      61,962      X     28-13605     57106                4856
                                                           1,513,718      21,284      X   X 28-13605     21284
                                                              29,799         419      X     28-13663       194                 225
                                                             122,255       1,719      X   X 28-13663      1719
DEVRY INC DEL                  COM            251893103        2,473          73      X     28-5284                             73
                                                             184,592       5,450      X   X 28-5284       1850                3600
                                                              29,365         867      X     28-13605       187                 680
DEXCOM INC                     COM            252131107      216,621      20,769      X     28-5284                          20769
                                                              30,664       2,940      X   X 28-5284                           2940
                                                               7,916         759      X     28-13663                           759
DIAGEO P L C                   SPON ADR NEW   25243Q205    5,131,098      53,172      X     28-5284      27588               25584
                                                           3,392,072      35,151      X   X 28-5284      20820               14331
                                                             179,973       1,865      X     28-13605      1865
                                                             262,963       2,725      X   X 28-13605      2725
                                                              70,252         728      X     28-13663                           728
                                                             482,500       5,000      X   X 28-13663      5000
DIAMOND FOODS INC              COM            252603105       45,640       2,000      X   X 28-5284       2000
                                                               4,564         200      X   X 28-13605       200
DIAMOND OFFSHORE DRILLING IN   COM            25271C102      311,990       4,674      X     28-5284       4287                 387
                                                             493,483       7,393      X   X 28-5284       6202                1191
                                                             125,624       1,882      X     28-13605      1100                 782
                                                               4,739          71      X   X 28-13605        71
                                                               5,140          77      X     28-13663                            77
                                                              16,421         246      X   X 28-13663       246
DIAMONDROCK HOSPITALITY CO     COM            252784301       62,831       6,106      X   X 28-5284                           6106
DICKS SPORTING GOODS INC       COM            253393102      333,627       6,939      X     28-5284       6939
                                                             616,722      12,827      X   X 28-5284      12827
DIEBOLD INC                    COM            253651103      212,553       5,518      X     28-5284       4396                1122
                                                              88,249       2,291      X   X 28-5284       2291
                                                             125,883       3,268      X     28-13605      3268
               COLUMN TOTAL                               34,299,396






                                                                                                                   FILE NO. 28-1235
 PAGE    76 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DIGI INTL INC                  COM            253798102        1,978         180      X     28-5284                            180
DIGITAL RLTY TR INC            COM            253868103      253,495       3,427      X     28-5284       2944                 483
                                                             222,502       3,008      X   X 28-5284       1549                1459
DIGITAL RIV INC                COM            25388B104       20,001       1,069      X     28-5284       1069
DIGITALGLOBE INC               COM NEW        25389M877       10,672         800      X   X 28-5284        800
DIME CMNTY BANCSHARES          COM            253922108        3,360         230      X     28-5284                            230
                                                              23,376       1,600      X   X 28-5284                           1600
                                                             214,329      14,670      X     28-13605     14670
DILLARDS INC                   CL A           254067101       11,029         175      X   X 28-5284        175
                                                             301,047       4,777      X     28-13605      4777
DIREXION SHS ETF TR            DLY FIN BEAR N 25459W144          929          45      X     28-5284         45
DIREXION SHS ETF TR            GLD MNRS BEAR  25459W235       50,364       1,200      X     28-5284       1200
DIREXION SHS ETF TR            GLD MNRS BULL  25459W250       45,563       2,785      X     28-5284       2785
DIREXION SHS ETF TR            DLY ENRGY BULL 25459W888        3,438          67      X     28-5284         67
DIREXION SHS ETF TR            20YR TRES BEAR 25459Y678       89,471       1,102      X     28-5284       1102
                                                             105,547       1,300      X     28-13605      1300
DIREXION SHS ETF TR            DLY FIN BULL N 25459Y694      338,365       3,100      X     28-5284       3100
DISCOVERY LABORATORIES INC N   COM NEW        254668403        1,785         666      X   X 28-5284        666
DISNEY WALT CO                 COM DISNEY     254687106   45,346,054   1,035,771      X     28-5284    1020288               15483
                                                          41,939,664     957,964      X   X 28-5284     892131               65833
                                                           7,765,565     177,377      X     28-13605    156294               21083
                                                           4,301,122      98,244      X   X 28-13605     96044                2200
                                                             259,615       5,930      X     28-13663      5357                 573
                                                             476,939      10,894      X   X 28-13663     10894
DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104    2,298,809      45,431      X     28-5284      41504                3927
                                                           1,831,922      36,204      X   X 28-5284      35746                 458
                                                             426,912       8,437      X     28-13605      5538                2899
                                                           1,803,333      35,639      X   X 28-13605     35639
                                                              38,658         764      X     28-13663       720                  44
               COLUMN TOTAL                              108,185,844






                                                                                                                   FILE NO. 28-1235
 PAGE    77 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DISCOVERY COMMUNICATNS NEW     COM SER C      25470F302       33,941         724      X     28-5284        724
                                                              85,228       1,818      X   X 28-5284       1818
                                                              27,331         583      X     28-13605       583
                                                           1,610,750      34,359      X   X 28-13605     34359
DISH NETWORK CORP              CL A           25470M109      125,397       3,808      X     28-5284       3808
                                                              83,148       2,525      X   X 28-5284       2525
                                                             220,433       6,694      X     28-13605      6694
                                                             108,998       3,310      X   X 28-13605      3310
DISCOVER FINL SVCS             COM            254709108    4,769,420     143,054      X     28-5284     127640               15414
                                                           7,494,532     224,791      X   X 28-5284     204925               19866
                                                          13,839,434     415,100      X     28-13605    299506              115594
                                                           2,077,682      62,318      X   X 28-13605     61848        95       375
                                                              28,006         840      X     28-13663       600                 240
                                                              68,014       2,040      X   X 28-13663      2040
DIRECTV                        COM CL A       25490A101      871,246      17,658      X     28-5284      15056                2602
                                                             597,261      12,105      X   X 28-5284      10973                1132
                                                             510,718      10,351      X     28-13605      2647                7704
                                                              50,524       1,024      X   X 28-13605      1024
                                                               4,983         101      X     28-13663                           101
DR REDDYS LABS LTD             ADR            256135203       86,780       2,511      X     28-5284       2511
                                                               3,456         100      X   X 28-5284        100
                                                              20,736         600      X     28-13663       600
DOLBY LABORATORIES INC         COM            25659T107    1,656,752      43,530      X     28-5284      42330                1200
                                                             432,324      11,359      X   X 28-5284      11359
                                                              43,769       1,150      X     28-13605      1150
                                                             163,087       4,285      X   X 28-13605      4285
                                                               7,612         200      X     28-13663       200
                                                              13,816         363      X   X 28-13663       300                  63
DOLE FOOD CO INC NEW           COM            256603101        3,992         400      X     28-5284        400
DOLLAR GEN CORP NEW            COM            256677105      196,812       4,260      X     28-5284       4260
                                                              43,982         952      X   X 28-5284        952
               COLUMN TOTAL                               35,280,164






                                                                                                                   FILE NO. 28-1235
 PAGE    78 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DOLLAR TREE INC                COM            256746108   50,326,224     532,609      X     28-5284     524088                8521
                                                          14,420,969     152,619      X   X 28-5284     148495                4124
                                                          47,401,286     501,654      X     28-13605    463284               38370
                                                           9,248,776      97,881      X   X 28-13605     93943       133      3805
                                                             550,499       5,826      X     28-13663      4826                1000
                                                             706,218       7,474      X   X 28-13663      7474
DOMINION RES INC VA NEW        COM            25746U109   54,757,061   1,069,265      X     28-5284    1061762                7503
                                                          48,132,637     939,907      X   X 28-5284     881969               57938
                                                           3,495,492      68,258      X     28-13605     61595                6663
                                                           2,702,761      52,778      X   X 28-13605     52632                 146
                                                             103,598       2,023      X     28-13663      1685                 338
                                                             789,658      15,420      X   X 28-13663     15420
DOMINOS PIZZA INC              COM            25754A201       56,265       1,550      X     28-5284       1550
                                                             170,755       4,704      X     28-13605      4704
DOMTAR CORP                    COM NEW        257559203        8,775          92      X     28-5284         92
                                                              48,930         513      X   X 28-5284        213                 300
DONALDSON INC                  COM            257651109    1,972,296      55,200      X     28-5284      55200
                                                           1,894,905      53,034      X   X 28-5284      53034
                                                              46,449       1,300      X     28-13605      1300
                                                             169,718       4,750      X   X 28-13605      4750
DONEGAL GROUP INC              CL A           257701201       59,984       4,388      X     28-5284       4388
DONEGAL GROUP INC              CL B           257701300       10,269         616      X     28-5284        616
DONNELLEY R R & SONS CO        COM            257867101      448,270      36,180      X     28-5284      21539               14641
                                                             159,125      12,843      X   X 28-5284      12462                 381
                                                              39,933       3,223      X     28-13605      1176                2047
                                                              81,774       6,600      X   X 28-13605      6500                 100
                                                              28,237       2,279      X   X 28-13663      2279
DORCHESTER MINERALS LP         COM UNIT       25820R105       85,076       3,241      X     28-5284       3241
                                                             183,750       7,000      X   X 28-5284       7000
DORMAN PRODUCTS INC            COM            258278100       60,720       1,200      X   X 28-5284                           1200
                                                           1,814,516      35,860      X     28-13605     29168                6692
                                                               9,968         197      X   X 28-13605       197
DOT HILL SYS CORP              COM            25848T109       30,200      20,000      X     28-5284      20000
               COLUMN TOTAL                              240,015,094






                                                                                                                   FILE NO. 28-1235
 PAGE    79 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DOUGLAS EMMETT INC             COM            25960P109       45,985       2,016      X     28-5284       2016
                                                              17,427         764      X   X 28-5284        764
DOVER CORP                     COM            260003108   28,690,192     455,834      X     28-5284     446395                9439
                                                          11,674,489     185,486      X   X 28-5284     177097                8389
                                                          32,140,815     510,658      X     28-13605    500129               10529
                                                           8,382,601     133,184      X   X 28-13605    127030       133      6021
                                                             232,186       3,689      X     28-13663      2591                1098
                                                              45,632         725      X   X 28-13663       725
DOW CHEM CO                    COM            260543103   14,135,129     408,058      X     28-5284     373836               34222
                                                          15,122,819     436,571      X   X 28-5284     400135               36436
                                                           1,656,034      47,807      X     28-13605     34680               13127
                                                           1,404,340      40,541      X   X 28-13605     38239                2302
                                                             342,278       9,881      X     28-13663      6000                3881
                                                             112,580       3,250      X   X 28-13663      3250
DOW 30 PREMIUM & DIV INC FD    COM            260582101        3,545         250      X     28-5284        250
DR PEPPER SNAPPLE GROUP INC    COM            26138E109      192,284       4,782      X     28-5284       4401                 381
                                                             476,247      11,844      X   X 28-5284       6383                5461
                                                             126,139       3,137      X     28-13605       659                2478
DRDGOLD LIMITED                SPON ADR REPST 26152H301        7,550       1,012      X     28-5284       1012
DRESSER-RAND GROUP INC         COM            261608103       79,652       1,717      X     28-5284       1717
                                                             167,793       3,617      X   X 28-5284       1617                2000
DREW INDS INC                  COM NEW        26168L205       73,737       2,700      X   X 28-5284       2700
DREYFUS STRATEGIC MUNS INC     COM            261932107       66,695       7,313      X     28-5284       7313
DREYFUS HIGH YIELD STRATEGIE   SH BEN INT     26200S101      111,884      24,061      X     28-5284      24061
                                                               2,051         441      X   X 28-5284                            441
DREYFUS STRATEGIC MUN BD FD    COM            26202F107       36,498       4,200      X   X 28-5284       4200
DRIL-QUIP INC                  COM            262037104      131,991       2,030      X     28-5284        350                1680
                                                               3,901          60      X     28-13605        60
               COLUMN TOTAL                              115,482,474






                                                                                                                   FILE NO. 28-1235
 PAGE    80 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
DU PONT E I DE NEMOURS & CO    COM            263534109   86,092,899   1,627,465      X     28-5284    1607324               20141
                                                          76,553,547   1,447,137      X   X 28-5284    1405842               41295
                                                          12,393,253     234,277      X     28-13605    222371               11906
                                                          11,159,943     210,963      X   X 28-13605    205469                5494
                                                           6,713,856     126,916      X     28-13663    125243                1673
                                                           8,834,353     167,001      X   X 28-13663    167001
DUCOMMUN INC DEL               COM            264147109       14,137       1,188      X   X 28-5284                           1188
DUFF & PHELPS UTIL CORP BD T   COM            26432K108       10,629         900      X   X 28-5284        900
DUFF & PHELPS CORP NEW         CL A           26433B107        8,765         564      X     28-5284        564
                                                              23,636       1,521      X   X 28-5284        121                1400
DUKE ENERGY CORP NEW           COM            26441C105    9,113,802     433,784      X     28-5284     416228               17556
                                                           9,687,144     461,073      X   X 28-5284     424972               36101
                                                             899,858      42,830      X     28-13605     27174               15656
                                                             836,807      39,829      X   X 28-13605     39829
                                                              31,053       1,478      X     28-13663      1200                 278
                                                              30,864       1,469      X   X 28-13663       234                1235
DUKE REALTY CORP               COM NEW        264411505      215,530      15,030      X     28-5284      15030
                                                             500,351      34,892      X   X 28-5284      33392                1500
                                                              14,340       1,000      X     28-13605      1000
DUN & BRADSTREET CORP DEL NE   COM            26483E100    1,200,370      14,167      X     28-5284      13567                 600
                                                             507,787       5,993      X   X 28-5284       5893                 100
                                                              58,125         686      X     28-13605       145                 541
                                                              15,506         183      X   X 28-13605       183
DUNKIN BRANDS GROUP INC        COM            265504100      316,381      10,518      X     28-5284      10518
                                                               3,008         100      X   X 28-5284        100
                                                               3,670         122      X     28-13605       122
                                                               9,024         300      X   X 28-13605       300
DUPONT FABROS TECHNOLOGY INC   COM            26613Q106       34,670       1,418      X     28-5284       1418
                                                              14,915         610      X   X 28-5284        610
                                                               1,932          79      X     28-13605        79
DYCOM INDS INC                 COM            267475101       16,352         700      X   X 28-5284        700
DYNEGY INC DEL                 COM            26817G300            6          10      X     28-5284         10
               COLUMN TOTAL                              225,316,513






                                                                                                                   FILE NO. 28-1235
 PAGE    81 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ECA MARCELLUS TR I             COM UNIT       26827L109       10,710         500      X     28-5284        500
                                                              17,136         800      X   X 28-5284        800
E M C CORP MASS                NOTE  1.750%12 268648AM4      751,000       4,000      X     28-5284       4000
                                                             375,500       2,000      X   X 28-5284       2000
                                                             751,000       4,000      X     28-13605      4000
E M C CORP MASS                COM            268648102   57,646,976   1,929,283      X     28-5284    1849787               79496
                                                          22,529,938     754,014      X   X 28-5284     687189               66825
                                                          52,079,197   1,742,945      X     28-13605   1620727              122218
                                                          10,402,453     348,141      X   X 28-13605    332121       458     15562
                                                             366,299      12,259      X     28-13663      9984                2275
                                                             200,196       6,700      X   X 28-13663      6700
ENI S P A                      SPONSORED ADR  26874R108      503,362      10,751      X     28-5284      10751
                                                              33,429         714      X   X 28-5284        114                 600
                                                              36,847         787      X     28-13663       787
EOG RES INC                    COM            26875P101   12,787,499     115,099      X     28-5284     109834                5265
                                                           7,881,545      70,941      X   X 28-5284      66265                4676
                                                           3,405,437      30,652      X     28-13605     27394                3258
                                                             468,287       4,215      X   X 28-13605      4198        17
                                                              85,325         768      X     28-13663                           768
                                                              11,110         100      X   X 28-13663       100
EQT CORP                       COM            26884L109   68,924,776   1,429,678      X     28-5284     362485             1067193
                                                          32,149,465     666,863      X   X 28-5284     659559                7304
                                                             477,472       9,904      X     28-13605      8173                1731
                                                           1,011,494      20,981      X   X 28-13605     20981
                                                              61,853       1,283      X     28-13663      1283
                                                              24,105         500      X   X 28-13663       500
EAGLE BANCORP INC MD           COM            268948106      300,600      17,957      X     28-13605     17957
ETFS PLATINUM TR               SH BEN INT     26922V101      229,642       1,420      X     28-5284       1420
                                                              24,258         150      X   X 28-5284        150
ETFS PRECIOUS METALS BASKET    PHYS PM BSKT   26922W109       77,264         811      X     28-5284        811
ETFS SILVER TR                 SILVER SHS     26922X107       25,640         800      X     28-5284        800
                                                              89,740       2,800      X   X 28-5284       2800
               COLUMN TOTAL                              273,739,555






                                                                                                                   FILE NO. 28-1235
 PAGE    82 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ETFS GOLD TR                   SHS            26922Y105      227,522       1,377      X     28-5284       1377
                                                              20,654         125      X   X 28-5284        125
ETFS PALLADIUM TR              SH BEN INT     26923A106      257,880       4,000      X   X 28-5284       3100                 900
E TRADE FINANCIAL CORP         COM NEW        269246401       10,107         923      X     28-5284         46                 877
                                                               8,990         821      X   X 28-5284                            821
                                                              35,489       3,241      X     28-13605       688                2553
                                                                 635          58      X     28-13663                            58
EV ENERGY PARTNERS LP          COM UNITS      26926V107       83,508       1,200      X     28-5284       1200
EXCO RESOURCES INC             COM            269279402      114,467      17,265      X     28-5284      17265
                                                             169,012      25,492      X   X 28-5284      25492
                                                              42,432       6,400      X     28-13605      6400
EAGLE MATERIALS INC            COM            26969P108        5,352         154      X     28-5284        154
EAGLE ROCK ENERGY PARTNERS L   UNIT           26985R104       27,198       2,750      X     28-5284       2750
EAST WEST BANCORP INC          COM            27579R104      587,086      25,426      X     28-5284       2529               22897
                                                             270,984      11,736      X   X 28-5284        807               10929
                                                              19,280         835      X     28-13663                           835
EASTERN AMERN NAT GAS TR       UNIT 99/99/999 276217106       66,510       3,000      X   X 28-5284       3000
EASTGROUP PPTY INC             COM            277276101       30,132         600      X     28-5284        600
EASTMAN CHEM CO                COM            277432100   11,199,259     216,662      X     28-5284     208404                8258
                                                           1,597,118      30,898      X   X 28-5284      26126                4772
                                                          27,721,089     536,295      X     28-13605    494410               41885
                                                           5,017,031      97,060      X   X 28-13605     94627       166      2267
                                                              19,849         384      X     28-13663       360                  24
EATON CORP                     COM            278058102   21,141,474     424,272      X     28-5284     416877                7395
                                                          13,487,536     270,671      X   X 28-5284     262746                7925
                                                           4,278,005      85,852      X     28-13605     82086                3766
                                                           2,260,538      45,365      X   X 28-13605     45165                 200
                                                             362,563       7,276      X     28-13663      7248                  28
                                                             346,817       6,960      X   X 28-13663      6960
EATON VANCE OH MUNI INCOME T   SH BEN INT     27826G109       22,394       1,488      X     28-5284       1488
               COLUMN TOTAL                               89,430,911






                                                                                                                   FILE NO. 28-1235
 PAGE    83 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EATON VANCE SR INCOME TR       SH BEN INT     27826S103       22,099       3,065      X   X 28-5284                           3065
EATON VANCE PA MUNI INCOME T   SH BEN INT     27826T101      392,505      27,733      X   X 28-5284      27733
EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108       81,644       5,990      X     28-5284       5990
EATON VANCE CORP               COM NON VTG    278265103       92,371       3,232      X     28-5284       1992                1240
                                                              54,016       1,890      X   X 28-5284       1890
EATON VANCE MUN BD FD II       COM            27827K109      398,475      27,500      X     28-5284      27500
EATON VANCE MUN BD FD          COM            27827X101      424,905      32,685      X     28-5284      32685
EATON VANCE ENHANCED EQ INC    COM            278274105       13,272       1,200      X     28-5284       1200
EATON VANCE ENH EQTY INC FD    COM            278277108       36,785       3,381      X     28-5284       3381
                                                               8,835         812      X   X 28-5284        812
EATON VANCE TAX ADVT DIV INC   COM            27828G107      230,590      13,783      X   X 28-5284      13783
                                                               6,926         414      X     28-13605       414
EATON VANCE LTD DUR INCOME F   COM            27828H105       41,730       2,600      X     28-5284       2600
                                                              16,050       1,000      X   X 28-5284       1000
EATON VANCE OHIO MUN BD FD     COM            27828L106        9,849         700      X     28-5284        700
EATON VANCE TX MGD DIV EQ IN   COM            27828N102       45,744       4,800      X     28-5284       4800
                                                              45,839       4,810      X   X 28-5284       4810
EATON VANCE SR FLTNG RTE TR    COM            27828Q105        4,572         300      X   X 28-13605       300
EATON VANCE TX ADV GLBL DIV    COM            27828S101      188,110      13,000      X   X 28-5284      13000
EATON VANCE TX ADV GLB DIV O   COM            27828U106       11,748         600      X   X 28-5284        600
EATON VANCE PA MUN BD FD       COM            27828W102        3,450         250      X     28-5284        250
                                                             165,600      12,000      X   X 28-5284      12000
EATON VANCE TAX MNGED BUY WR   COM            27828X100       17,125       1,250      X     28-5284       1250
                                                              13,700       1,000      X   X 28-5284       1000
EATON VANCE TX MNG BY WRT OP   COM            27828Y108       12,940       1,000      X     28-5284       1000
                                                              19,410       1,500      X   X 28-5284       1500
               COLUMN TOTAL                                2,358,290






                                                                                                                   FILE NO. 28-1235
 PAGE    84 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EATON VANCE TXMGD GL BUYWR O   COM            27829C105       77,280       7,000      X     28-5284       7000
                                                             328,992      29,800      X   X 28-5284      29800
EATON VANCE TAX MNGD GBL DV    COM            27829F108      193,115      21,674      X     28-5284      21674
                                                             160,380      18,000      X   X 28-5284      18000
EATON VANCE RISK MNGD DIV EQ   COM            27829G106        7,413         700      X     28-5284        700
EATON VANCE TAX-ADV BD & OPT   COM SH BEN INT 27829M103       10,140         600      X   X 28-5284        600
EBAY INC                       COM            278642103   21,559,969     584,281      X     28-5284     569263               15018
                                                           5,096,960     138,129      X   X 28-5284     127725               10404
                                                          30,699,730     831,971      X     28-13605    743248               88723
                                                           5,601,346     151,798      X   X 28-13605    145963       254      5581
                                                             197,858       5,362      X     28-13663      5098                 264
EBIX INC                       COM NEW        278715206        6,948         300      X     28-5284        300
ECHOSTAR CORP                  CL A           278768106          760          27      X     28-5284         27
                                                               4,896         174      X   X 28-5284        174
ECOLAB INC                     COM            278865100    3,677,771      59,588      X     28-5284      27385               32203
                                                           6,267,789     101,552      X   X 28-5284      64484               37068
                                                             306,934       4,973      X     28-13605      1058                3915
                                                             229,598       3,720      X   X 28-13605      3720
                                                             212,934       3,450      X     28-13663                          3450
ECOPETROL S A                  SPONSORED ADS  279158109        6,109         100      X   X 28-5284        100
EDISON INTL                    COM            281020107      486,740      11,450      X     28-5284      10430                1020
                                                             209,319       4,924      X   X 28-5284       4271                 653
                                                           2,198,447      51,716      X     28-13605     47820                3896
                                                             167,489       3,940      X   X 28-13605      3940
                                                               3,953          93      X     28-13663                            93
EDUCATION RLTY TR INC          COM            28140H104       22,211       2,049      X     28-5284       2049
EDUCATION MGMT CORP NEW        COM            28140M103       65,342       4,773      X     28-5284       4773
                                                               2,505         183      X   X 28-5284        183
               COLUMN TOTAL                               77,802,928






                                                                                                                   FILE NO. 28-1235
 PAGE    85 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EDWARDS LIFESCIENCES CORP      COM            28176E108      727,664      10,005      X     28-5284       9291                 714
                                                             426,780       5,868      X   X 28-5284       4994                 874
                                                             120,586       1,658      X     28-13605       351                1307
                                                              43,638         600      X     28-13663       600
EINSTEIN NOAH REST GROUP INC   COM            28257U104        1,492         100      X   X 28-5284        100
8X8 INC NEW                    COM            282914100          420         100      X     28-5284        100
EL PASO CORP                   COM            28336L109      583,583      19,749      X     28-5284      15771                3978
                                                             466,417      15,784      X   X 28-5284      15173                 611
                                                             330,251      11,176      X     28-13605      2373                8803
                                                              78,278       2,649      X   X 28-13605      2649
                                                               6,767         229      X     28-13663                           229
EL PASO ELEC CO                COM NEW        283677854       90,322       2,780      X     28-5284       2500                 280
                                                             313,399       9,646      X     28-13605      9646
EL PASO ENERGY CAP TR I        PFD CV TR SECS 283678209       47,253       1,025      X     28-5284       1025
EL PASO PIPELINE PARTNERS L    COM UNIT LPI   283702108    2,013,327      57,705      X     28-5284      56795                 910
                                                             820,089      23,505      X   X 28-5284      19230                4275
                                                              20,934         600      X     28-13605       600
ELAN PLC                       ADR            284131208       39,026       2,600      X     28-5284       2600
                                                              78,803       5,250      X   X 28-5284       5250
                                                              30,020       2,000      X     28-13605      2000
ELDORADO GOLD CORP NEW         COM            284902103       67,821       4,936      X     28-5284       4936
                                                               4,122         300      X   X 28-5284        300
ELECTRO SCIENTIFIC INDS        COM            285229100        2,402         160      X     28-5284                            160
ELECTRONIC ARTS INC            COM            285512109      113,334       6,875      X     28-5284       4724                2151
                                                             119,516       7,250      X   X 28-5284       6329                 921
                                                              80,331       4,873      X     28-13605      1035                3838
                                                              40,553       2,460      X   X 28-13605      2460
ELECTRONICS FOR IMAGING INC    COM            286082102        1,695         102      X   X 28-5284        102
ELIZABETH ARDEN INC            COM            28660G106       85,351       2,440      X     28-5284                           2440
ELLINGTON FINANCIAL LLC        COM            288522303       29,337       1,500      X     28-5284       1500
               COLUMN TOTAL                                6,783,511






                                                                                                                   FILE NO. 28-1235
 PAGE    86 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ELSTER GROUP SE                SPONSORED ADR  290348101       51,145       3,235      X     28-5284       3235
EMBRAER S A                    SP ADR REP 4 C 29082A107       22,610         707      X     28-5284        519                 188
                                                             135,531       4,238      X   X 28-5284       1642                2596
EMCOR GROUP INC                COM            29084Q100       13,611         491      X     28-5284         21                 470
                                                              33,264       1,200      X   X 28-5284        500                 700
                                                               9,009         325      X   X 28-13605       325
EMERSON ELEC CO                COM            291011104   69,989,660   1,341,312      X     28-5284    1327325               13987
                                                          78,496,409   1,504,339      X   X 28-5284    1430292               74047
                                                           6,741,239     129,192      X     28-13605    120515                8677
                                                           4,650,751      89,129      X   X 28-13605     83849                5280
                                                           1,006,291      19,285      X     28-13663     19041                 244
                                                           2,099,723      40,240      X   X 28-13663     40240
EMPIRE DIST ELEC CO            COM            291641108       25,499       1,253      X     28-5284       1253
                                                               3,867         190      X   X 28-5284        190
                                                               2,035         100      X   X 28-13605                           100
EMULEX CORP                    COM NEW        292475209      133,487      12,860      X   X 28-5284        300               12560
ENBRIDGE INC                   COM            29250N105      942,384      24,257      X     28-5284      24257
                                                             496,697      12,785      X   X 28-5284       8985                3800
                                                           3,901,356     100,421      X     28-13605     99581                 840
                                                             770,862      19,842      X   X 28-13605     19776        66
                                                              38,850       1,000      X     28-13663      1000
ENBRIDGE ENERGY PARTNERS L P   COM            29250R106    3,402,055     109,850      X     28-5284     109850
                                                          11,339,201     366,135      X   X 28-5284     366135
                                                              71,850       2,320      X     28-13605      2320
                                                             117,810       3,804      X   X 28-13605      3804
ENBRIDGE ENERGY MANAGEMENT L   SHS UNITS LLI  29250X103    1,360,332      42,724      X   X 28-5284      42724
ENCANA CORP                    COM            292505104       79,465       4,044      X     28-5284       4044
                                                              78,895       4,015      X   X 28-5284       3165                 850
                                                             140,006       7,125      X   X 28-13605      7125
ENCORE CAP GROUP INC           COM            292554102      144,816       6,422      X     28-13605      6422
ENCORE WIRE CORP               COM            292562105       57,676       1,940      X     28-5284                           1940
                                                             279,462       9,400      X   X 28-5284                           9400
               COLUMN TOTAL                              186,635,848






                                                                                                                   FILE NO. 28-1235
 PAGE    87 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ENDEAVOUR SILVER CORP          COM            29258Y103        9,480       1,000      X   X 28-5284       1000
ENDO PHARMACEUTICALS HLDGS I   COM            29264F205      702,911      18,149      X     28-5284                          18149
                                                             651,477      16,821      X   X 28-5284        650               16171
                                                             492,336      12,712      X     28-13605     12712
                                                              41,131       1,062      X     28-13663                          1062
ENERGEN CORP                   COM            29265N108      519,810      10,576      X     28-5284      10576
                                                             207,118       4,214      X   X 28-5284       3914                 300
                                                               7,373         150      X     28-13663       150
ENERGIZER HLDGS INC            COM            29266R108      538,324       7,257      X     28-5284       6967                 290
                                                             468,818       6,320      X   X 28-5284       6095                 225
                                                           2,537,920      34,213      X     28-13605     34213
                                                             157,781       2,127      X   X 28-13605      2127
ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109    8,967,034     191,154      X     28-5284     191054                 100
                                                           2,086,510      44,479      X   X 28-5284      44179                 300
                                                             738,833      15,750      X     28-13605     15450                 300
                                                             627,421      13,375      X   X 28-13605     13075                 300
                                                              46,910       1,000      X     28-13663      1000
                                                              93,820       2,000      X   X 28-13663      2000
ENERGY TRANSFER EQUITY L P     COM UT LTD PTN 29273V100    1,031,680      25,600      X     28-5284      25600
                                                           2,589,477      64,255      X   X 28-5284      63165                1090
                                                             201,500       5,000      X   X 28-13605      5000
ENERSYS                        COM            29275Y102       34,442         994      X     28-5284        994
                                                           2,919,401      84,254      X     28-13605     68386               15868
                                                              15,454         446      X   X 28-13605       446
ENERPLUS CORP                  COM            292766102      160,303       7,150      X     28-5284       7150
                                                             156,581       6,984      X   X 28-5284       6984
                                                              13,452         600      X     28-13605       600
                                                              15,694         700      X   X 28-13605       700
ENNIS INC                      COM            293389102       13,447         850      X   X 28-5284                            850
ENPRO INDS INC                 COM            29355X107        4,110         100      X   X 28-5284        100
               COLUMN TOTAL                               26,050,548






                                                                                                                   FILE NO. 28-1235
 PAGE    88 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ENSCO PLC                      SPONSORED ADR  29358Q109      229,452       4,335      X     28-5284       3090                1245
                                                              39,539         747      X   X 28-5284        747
                                                             317,686       6,002      X     28-13605      5990                  12
                                                             154,026       2,910      X   X 28-13605      2910
ENTEGRIS INC                   COM            29362U104       56,040       6,000      X   X 28-5284                           6000
                                                               3,036         325      X     28-13605       325
ENTERGY CORP NEW               COM            29364G103    2,829,994      42,113      X     28-5284      41204                 909
                                                           3,238,368      48,190      X   X 28-5284      46291                1899
                                                             185,338       2,758      X     28-13605       716                2042
                                                              26,880         400      X   X 28-13605       400
                                                              26,477         394      X     28-13663       350                  44
                                                              16,061         239      X   X 28-13663       239
ENTERPRISE PRODS PARTNERS L    COM            293792107   27,206,207     539,057      X     28-5284     537007                2050
                                                          25,906,554     513,306      X   X 28-5284     491821               21485
                                                           6,478,380     128,361      X     28-13605    128244                 117
                                                           2,394,852      47,451      X   X 28-13605     46451                1000
                                                             270,015       5,350      X     28-13663      5100                 250
                                                             151,410       3,000      X   X 28-13663      3000
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105       51,435       1,109      X     28-5284       1109
                                                              60,294       1,300      X   X 28-5284       1300
                                                              34,785         750      X     28-13605       750
                                                              12,755         275      X   X 28-13605       275
ENZON PHARMACEUTICALS INC      COM            293904108       13,680       2,000      X     28-5284       2000
ENZO BIOCHEM INC               COM            294100102          670         249      X     28-5284                            249
                                                              10,760       4,000      X   X 28-5284       4000
EPLUS INC                      COM            294268107      156,653       4,900      X     28-13605      4900
EPOCH HOLDING CORP             COM            29428R103        4,776         200      X     28-5284        200
                                                              28,369       1,188      X   X 28-5284                           1188
EQUIFAX INC                    COM            294429105      231,391       5,228      X     28-5284       4785                 443
                                                             129,770       2,932      X   X 28-5284       1432                1500
                                                              77,676       1,755      X     28-13605       369                1386
               COLUMN TOTAL                               70,343,329






                                                                                                                   FILE NO. 28-1235
 PAGE    89 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EQUINIX INC                    COM NEW        29444U502       26,294         167      X     28-5284        167
                                                             265,933       1,689      X   X 28-5284       1483                 206
                                                             367,331       2,333      X     28-13605      2333
                                                               8,030          51      X   X 28-13605        51
EQUITY LIFESTYLE PPTYS INC     COM            29472R108       65,277         936      X     28-5284        936
                                                             308,460       4,423      X     28-13605      4423
EQUITY ONE                     COM            294752100       66,160       3,272      X     28-5284       3272
                                                              65,210       3,225      X   X 28-5284                           3225
                                                               4,044         200      X   X 28-13605       200
EQUITY RESIDENTIAL             SH BEN INT     29476L107   23,100,330     368,897      X     28-5284     363866                5031
                                                          10,773,270     172,042      X   X 28-5284     160487               11555
                                                          25,853,105     412,857      X     28-13605    354749               58108
                                                           4,639,453      74,089      X   X 28-13605     71059       108      2922
                                                             140,582       2,245      X     28-13663      2132                 113
                                                              29,745         475      X   X 28-13663       475
ERICSSON L M TEL CO            ADR B SEK 10   294821608      165,249      16,028      X     28-5284      10664                5364
                                                             332,126      32,214      X   X 28-5284       2501               29713
                                                              65,984       6,400      X     28-13605      6400
                                                               2,835         275      X   X 28-13605       275
ERIE INDTY CO                  CL A           29530P102  375,813,664   4,821,833      X     28-5284    4821833
                                                             648,695       8,323      X   X 28-5284       8323
ESCO TECHNOLOGIES INC          COM            296315104       57,766       1,571      X     28-5284       1571
ESSA BANCORP INC               COM            29667D104      147,000      15,000      X     28-5284      15000
ESSEX PPTY TR INC              COM            297178105       79,088         522      X     28-5284        522
                                                              34,696         229      X   X 28-5284        229
ESSEX RENT CORP                COM            297187106        4,821       1,262      X     28-5284       1262
                                                              77,088      20,180      X                  20180
ESTERLINE TECHNOLOGIES CORP    COM            297425100        3,001          42      X     28-5284         42
                                                           2,540,189      35,547      X     28-13605     29324                6223
                                                             181,866       2,545      X   X 28-13605      2545
ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101        7,417         141      X   X 28-5284        141
ETHAN ALLEN INTERIORS INC      COM            297602104        4,304         170      X     28-5284                            170
               COLUMN TOTAL                              445,879,013






                                                                                                                   FILE NO. 28-1235
 PAGE    90 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EXACT SCIENCES CORP            COM            30063P105        7,008         628      X     28-5284        628
EXAR CORP                      COM            300645108        2,688         320      X     28-5284                            320
EXAMWORKS GROUP INC            COM            30066A105        6,210         500      X   X 28-5284        500
EXELON CORP                    COM            30161N101   10,792,670     275,253      X     28-5284     272353                2900
                                                          11,434,224     291,615      X   X 28-5284     284228                7387
                                                           6,026,499     153,698      X     28-13605    143563               10135
                                                           2,757,679      70,331      X   X 28-13605     66676                3655
                                                              19,487         497      X     28-13663       400                  97
                                                             179,464       4,577      X   X 28-13663      4577
EXELIXIS INC                   COM            30161Q104       10,360       2,000      X     28-5284       2000
EXELIS INC                     COM            30162A108    1,994,599     159,313      X     28-5284     158337                 976
                                                           1,669,292     133,330      X   X 28-5284     124500                8830
                                                              74,093       5,918      X     28-13605      5713                 205
                                                              72,654       5,803      X   X 28-13605      5803
                                                               6,060         484      X     28-13663       484
                                                              29,522       2,358      X   X 28-13663      2358
EXPEDIA INC DEL                COM NEW        30212P303       15,917         476      X     28-5284        131                 345
                                                              37,954       1,135      X   X 28-5284       1135
                                                              10,099         302      X     28-13605       286                  16
                                                               1,572          47      X   X 28-13605        47
                                                               2,341          70      X     28-13663                            70
EXPEDITORS INTL WASH INC       COM            302130109      594,212      12,776      X     28-5284       1235               11541
                                                           2,534,469      54,493      X   X 28-5284      13874               40619
                                                             266,549       5,731      X     28-13605      2771                2960
                                                             283,711       6,100      X   X 28-13605      5400                 700
                                                              31,906         686      X     28-13663                           686
EXPONENT INC                   COM            30214U102       71,470       1,473      X     28-13605      1473
EXPRESS SCRIPTS INC            COM            302182100    3,437,938      63,454      X     28-5284      41571               21883
                                                           3,679,310      67,909      X   X 28-5284      45303               22606
                                                           1,112,153      20,527      X     28-13605     15000                5527
                                                             126,402       2,333      X   X 28-13605      2333
                                                             145,690       2,689      X     28-13663      1300                1389
               COLUMN TOTAL                               47,434,202






                                                                                                                   FILE NO. 28-1235
 PAGE    91 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
EXPRESS INC                    COM            30219E103      421,687      16,881      X     28-5284                          16881
                                                             341,302      13,663      X   X 28-5284                          13663
                                                             372,951      14,930      X     28-13605     14930
                                                              21,957         879      X     28-13663                           879
EXTRA SPACE STORAGE INC        COM            30225T102       63,396       2,202      X     28-5284       2202
                                                             505,466      17,557      X     28-13605     17557
EXTERRAN HLDGS INC             COM            30225X103       10,552         800      X     28-5284        800
EZCORP INC                     CL A NON VTG   302301106      241,627       7,445      X     28-13605      7445
EXXON MOBIL CORP               COM            30231G102  628,161,626   7,242,726      X     28-5284    7158913               83813
                                                         667,318,486   7,694,206      X   X 28-5284    7382546      1320    310340
                                                         139,325,587   1,606,429      X     28-13605   1505771              100658
                                                          76,205,575     878,653      X   X 28-13605    849273       266     29114
                                                           7,392,518      85,236      X     28-13663     83998                1238
                                                          49,013,378     565,126      X   X 28-13663    564659                 467
FBL FINL GROUP INC             CL A           30239F106       32,251         957      X     28-5284         57                 900
FEI CO                         COM            30241L109        1,228          25      X     28-5284         25
                                                             113,591       2,313      X     28-13605      2313
FLIR SYS INC                   COM            302445101       66,464       2,626      X     28-5284       2571                  55
                                                             355,125      14,031      X   X 28-5284       9000                5031
                                                              55,682       2,200      X     28-13605       472                1728
FMC TECHNOLOGIES INC           COM            30249U101    2,745,621      54,455      X     28-5284      26992               27463
                                                           1,297,458      25,733      X   X 28-5284       7467               18266
                                                             321,579       6,378      X     28-13605      3678                2700
                                                             436,234       8,652      X   X 28-13605      8292                 360
                                                              59,596       1,182      X     28-13663                          1182
F M C CORP                     COM NEW        302491303   16,297,041     153,949      X     28-5284     144985                8964
                                                           3,544,405      33,482      X   X 28-5284      24905                8577
                                                          36,947,151     349,019      X     28-13605    326490               22529
                                                           7,001,475      66,139      X   X 28-13605     64427        94      1618
                                                             160,272       1,514      X     28-13663       607                 907
                                                              49,648         469      X   X 28-13663       469
               COLUMN TOTAL                            1,638,880,929






                                                                                                                   FILE NO. 28-1235
 PAGE    92 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FNB CORP PA                    COM            302520101    1,236,062     102,323      X     28-5284     102323
                                                             505,234      41,824      X   X 28-5284      10346               31478
                                                             483,200      40,000      X     28-13663     40000
FXCM INC                       COM CL A       302693106       70,536       5,430      X   X 28-5284                           5430
FTI CONSULTING INC             COM            302941109       16,434         438      X     28-5284        438
                                                              14,708         392      X   X 28-5284        392
                                                               4,728         126      X     28-13605       126
                                                              15,158         404      X   X 28-13605       404
FACTSET RESH SYS INC           COM            303075105    1,041,901      10,520      X     28-5284      10066                 454
                                                           1,630,991      16,468      X   X 28-5284      15499                 969
                                                             327,327       3,305      X     28-13605      3305
                                                             136,675       1,380      X   X 28-13605      1380
                                                               9,904         100      X     28-13663       100
FAIR ISAAC CORP                COM            303250104      267,044       6,083      X     28-5284       6083
                                                              32,925         750      X   X 28-5284        750
                                                              17,560         400      X   X 28-13605       400
FAIRCHILD SEMICONDUCTOR INTL   COM            303726103      129,081       8,781      X   X 28-5284        541                8240
FALCONSTOR SOFTWARE INC        COM            306137100        3,740       1,000      X     28-5284       1000
FAMILY DLR STORES INC          COM            307000109    1,159,733      18,327      X     28-5284      14542                3785
                                                           1,970,413      31,138      X   X 28-5284      20199               10939
                                                             116,372       1,839      X     28-13605       465                1374
                                                              13,605         215      X   X 28-13605       215
                                                                 380           6      X     28-13663                             6
FASTENAL CO                    COM            311900104      411,972       7,615      X     28-5284       7047                 568
                                                           4,591,900      84,878      X   X 28-5284      51021               33857
                                                           1,215,519      22,468      X     28-13605     17640                4828
                                                           2,610,866      48,260      X   X 28-13605     42660                5600
                                                               5,410         100      X     28-13663                           100
FAUQUIER BANKSHARES INC VA     COM            312059108       24,900       2,000      X   X 28-5284       2000
                                                             143,175      11,500      X   X 28-13605     11500
FEDERAL MOGUL CORP             COM            313549404          792          46      X   X 28-5284         46
               COLUMN TOTAL                               18,208,245






                                                                                                                   FILE NO. 28-1235
 PAGE    93 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206      952,607       9,842      X     28-5284       9842
                                                           2,393,230      24,726      X   X 28-5284      24226                 500
                                                              48,395         500      X     28-13605       500
                                                              19,358         200      X   X 28-13605       200
FEDERATED ENHANC TREAS INCM    COM SH BEN INT 314162108       29,520       2,000      X   X 28-5284       2000
FEDERATED INVS INC PA          CL B           314211103    4,142,869     184,867      X     28-5284     177542                7325
                                                           3,009,215     134,280      X   X 28-5284     128702                5578
                                                             424,759      18,954      X     28-13605     17947                1007
                                                              78,435       3,500      X   X 28-13605      3500
                                                             178,160       7,950      X     28-13663      7500                 450
                                                              13,446         600      X   X 28-13663       600
FEDEX CORP                     COM            31428X106    4,785,414      52,038      X     28-5284      45483                6555
                                                           1,742,550      18,949      X   X 28-5284      17529                1420
                                                             742,301       8,072      X     28-13605      4583                3489
                                                              88,374         961      X   X 28-13605       641                 320
                                                              18,392         200      X     28-13663       200
                                                              18,392         200      X   X 28-13663       200
FEDFIRST FINL CORP NEW         COM            31429C101      473,316      34,423      X     28-5284      24423               10000
FEMALE HEALTH CO               COM            314462102        1,626         300      X     28-5284        300
                                                               1,355         250      X   X 28-5284        250
FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100       34,684       2,300      X     28-5284       2300
                                                               3,016         200      X   X 28-5284        200
FERRO CORP                     COM            315405100       41,580       7,000      X     28-5284       1000                6000
                                                              17,820       3,000      X   X 28-5284       3000
F5 NETWORKS INC                COM            315616102    1,603,595      11,882      X     28-5284       1034               10848
                                                           1,526,263      11,309      X   X 28-5284        863               10446
                                                             199,741       1,480      X     28-13605       614                 866
                                                              25,372         188      X   X 28-13605        13                 175
                                                             102,165         757      X     28-13663                           757
FIDELITY NATL INFORMATION SV   COM            31620M106      564,166      17,034      X     28-5284       5396               11638
                                                           4,187,328     126,429      X   X 28-5284      92000               34429
                                                             110,488       3,336      X     28-13605       704                2632
                                                             108,932       3,289      X     28-13663                          3289
               COLUMN TOTAL                               27,686,864






                                                                                                                   FILE NO. 28-1235
 PAGE    94 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIDELITY NATIONAL FINANCIAL    CL A           31620R105       50,214       2,785      X     28-5284       2785
                                                           3,161,506     175,347      X   X 28-5284     175347
                                                              39,666       2,200      X     28-13605      2200
                                                              12,170         675      X   X 28-13605       675
FIFTH THIRD BANCORP            COM            316773100    1,763,940     125,592      X     28-5284     105134               20458
                                                             992,574      70,671      X   X 28-5284      51337               19334
                                                             186,644      13,289      X     28-13605      3262               10027
                                                               7,023         500      X   X 28-13605       500
                                                               4,705         335      X     28-13663                           335
FIFTH STREET FINANCE CORP      COM            31678A103       80,618       8,260      X     28-5284       8260
FINISAR CORP                   COM NEW        31787A507   10,517,051     521,938      X     28-5284     521938
                                                           1,391,438      69,054      X     28-13605     57714               11340
                                                               6,710         333      X   X 28-13605       333
FINISH LINE INC                CL A           317923100      240,805      11,348      X   X 28-5284                          11348
FIRST BUSEY CORP               COM            319383105      153,387      31,113      X     28-13605     31113
FIRST CASH FINL SVCS INC       COM            31942D107      249,062       5,807      X     28-5284       2533                3274
                                                              17,156         400      X   X 28-5284        400
                                                             331,368       7,726      X     28-13605      7726
FIRST CAPITAL INC              COM            31942S104      156,806       7,407      X     28-5284       7407
FIRST CTZNS BANCSHARES INC N   CL A           31946M103        9,135          50      X     28-5284         50
                                                              85,134         466      X   X 28-5284         16                 450
FIRST CLOVER LEAF FIN CORP     COM            31969M105       15,625       2,500      X     28-5284       2500
FIRST COMWLTH FINL CORP PA     COM            319829107      493,474      80,633      X     28-5284      80633
                                                              90,735      14,826      X   X 28-5284      12476                2350
FIRST CMNTY BANCSHARES INC N   COM            31983A103       33,400       2,500      X   X 28-5284                           2500
FIRST HORIZON NATL CORP        COM            320517105       43,430       4,184      X     28-5284         20                4164
                                                              62,104       5,983      X   X 28-5284       5803                 180
                                                              37,233       3,587      X     28-13605       743                2844
                                                               5,917         570      X     28-13663                           570
FIRST INDUSTRIAL REALTY TRUS   COM            32054K103       12,350       1,000      X     28-5284       1000
               COLUMN TOTAL                               20,251,380






                                                                                                                   FILE NO. 28-1235
 PAGE    95 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIRST INTST BANCSYSTEM INC     COM CL A       32055Y201       20,468       1,400      X     28-5284       1400
FIRST MIDWEST BANCORP DEL      COM            320867104       39,067       3,261      X     28-5284       2761                 500
FIRST NIAGARA FINL GP INC      COM            33582V108    2,632,043     267,484      X     28-5284     267257                 227
                                                           2,319,081     235,679      X   X 28-5284     206545               29134
                                                           2,451,921     249,179      X     28-13605    248469                 710
                                                             771,554      78,410      X   X 28-13605     78410
                                                               2,755         280      X   X 28-13663       280
FIRST POTOMAC RLTY TR          COM            33610F109       31,047       2,568      X     28-5284       2568
FIRST REP BK SAN FRANCISCO C   COM            33616C100          955          29      X     28-5284         29
                                                               8,433         256      X   X 28-5284        256
FIRST SOLAR INC                COM            336433107       22,821         911      X     28-5284        568                 343
                                                              11,573         462      X   X 28-5284        246                 216
                                                              19,439         776      X     28-13605       166                 610
1ST SOURCE CORP                COM            336901103    1,182,244      48,314      X     28-5284      48314
FIRST TR MORNINGSTAR DIV LEA   SHS            336917109       10,638         600      X   X 28-5284        600
FIRST TR ACTIVE DIVID INCOME   COM            33731L100        8,700       1,000      X   X 28-5284       1000
FIRST TR ENHANCED EQTY INC F   COM            337318109       21,744       1,800      X   X 28-5284       1800
FIRST TR EXCHANGE TRADED FD    NY ARCA BIOTEC 33733E203       12,681         300      X     28-5284        300
FIRST TR EXCHANGE TRADED FD    DJ INTERNT IDX 33733E302      222,600       6,000      X     28-5284       6000
FIRST TR VALUE LINE DIVID IN   SHS            33734H106       13,520         800      X     28-5284        800
FIRST TR ISE REVERE NAT GAS    COM            33734J102      900,021      50,935      X     28-5284      50935
                                                              32,036       1,813      X   X 28-5284       1813
                                                              22,971       1,300      X     28-13605      1300
                                                              35,340       2,000      X   X 28-13605      2000
FIRST TR EXCHANGE TRADED FD    HLTH CARE ALPH 33734X143        9,243         300      X     28-5284        300
FIRST TR EXCHANGE TRADED FD    INDLS PROD DUR 33734X150       49,807       2,574      X   X 28-5284       2574
               COLUMN TOTAL                               10,852,702






                                                                                                                   FILE NO. 28-1235
 PAGE    96 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FIRST TR EXCHANGE TRADED FD    ISE CLOUD COMP 33734X192       32,040       1,500      X     28-5284       1500
                                                             712,356      33,350      X   X 28-5284      33350
FIRST TR ISE GLB WIND ENRG E   COM SHS        33736G106          626          80      X     28-13605        80
FIRST TR HIGH INCOME L/S FD    COM            33738E109       49,132       2,710      X     28-5284       2710
FIRSTSERVICE CORP              SUB VTG SH     33761N109    1,335,046      43,572      X     28-13605     36151                7421
                                                               8,855         289      X   X 28-13605       289
FIRSTCITY FINL CORP            COM            33761X107       43,700       5,000      X     28-5284       5000
FISERV INC                     COM            337738108      375,955       5,418      X     28-5284       3876                1542
                                                           1,869,436      26,941      X   X 28-5284      24554                2387
                                                             159,666       2,301      X     28-13605       421                1880
                                                              71,125       1,025      X   X 28-13605      1025
                                                               3,470          50      X     28-13663                            50
FIRSTMERIT CORP                COM            337915102      341,381      20,248      X     28-5284      10046               10202
                                                             205,237      12,173      X   X 28-5284      12173
FIRSTENERGY CORP               COM            337932107    2,690,813      59,022      X     28-5284      53277                5745
                                                           2,707,864      59,396      X   X 28-5284      58025                1371
                                                             418,699       9,184      X     28-13605      4126                5058
                                                             111,285       2,441      X   X 28-13605      2441
                                                               2,507          55      X     28-13663                            55
                                                               1,596          35      X   X 28-13663        35
FIVE STAR QUALITY CARE INC     COM            33832D106           85          25      X     28-5284         25
FLAHERTY & CRMN/CLYMR PFD SE   COM SHS        338478100        3,736         207      X     28-5284        207
FLAHERTY & CRMRN CLYMRE T R    COM            338479108       36,119       1,900      X   X 28-5284       1900
FLAHERTY & CRUMRINE PFD INC    COM            338480106       12,800         900      X   X 28-5284        900
FLAMEL TECHNOLOGIES SA         SPONSORED ADR  338488109       25,650       5,000      X     28-5284       5000
FLEETCOR TECHNOLOGIES INC      COM            339041105       19,385         500      X     28-5284        500
FLEXSHARES TR                  MORNSTAR UPSTR 33939L407        5,118         144      X     28-5284        144
FLEXSHARES TR                  IBOXX 3R TARGT 33939L506        5,304         209      X     28-5284        209
               COLUMN TOTAL                               11,248,986






                                                                                                                   FILE NO. 28-1235
 PAGE    97 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FLEXSHARES TR                  IBOXX 5YR TRGT 33939L605        5,378         210      X     28-5284        210
FLUOR CORP NEW                 COM            343412102      828,372      13,797      X     28-5284      13263                 534
                                                           1,318,538      21,961      X   X 28-5284      21847                 114
                                                             381,494       6,354      X     28-13605      4467                1887
                                                              45,811         763      X   X 28-13605       763
                                                              87,238       1,453      X     28-13663      1400                  53
FLOW INTL CORP                 COM            343468104        8,040       2,000      X     28-5284       2000
FLOWERS FOODS INC              COM            343498101      174,754       8,579      X     28-5284       6757                1822
                                                              52,901       2,597      X   X 28-5284       2597
                                                               3,056         150      X   X 28-13605       150
FLOWSERVE CORP                 COM            34354P105      279,881       2,423      X     28-5284       2259                 164
                                                             137,919       1,194      X   X 28-5284       1122                  72
                                                              90,098         780      X     28-13605       166                 614
                                                               2,079          18      X   X 28-13605        18
FLUIDIGM CORP DEL              COM            34385P108        3,634         231      X     28-5284        231
FLY LEASING LTD                SPONSORED ADR  34407D109       39,243       3,214      X   X 28-5284                           3214
                                                              28,364       2,323      X     28-13605      2323
FOOT LOCKER INC                COM            344849104      252,592       8,135      X     28-5284       1625                6510
                                                             973,480      31,352      X   X 28-5284      13652               17700
                                                              37,260       1,200      X   X 28-13605      1200
                                                               1,925          62      X     28-13663                            62
FORD MTR CO DEL                COM PAR $0.01  345370860    4,466,112     358,005      X     28-5284     333088               24917
                                                           2,754,867     220,831      X   X 28-5284     215586                5245
                                                             957,618      76,763      X     28-13605     34632               42131
                                                             210,366      16,863      X   X 28-13605     16363                 500
                                                             100,336       8,043      X     28-13663      7350                 693
                                                             181,262      14,530      X   X 28-13663     14530
FOREST CITY ENTERPRISES INC    CL A           345550107    2,438,387     155,708      X     28-5284     151515                4193
                                                              56,298       3,595      X   X 28-5284       3595
                                                           4,978,236     317,895      X     28-11439    317895
               COLUMN TOTAL                               20,895,539






                                                                                                                   FILE NO. 28-1235
 PAGE    98 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FOREST LABS INC                COM            345838106      288,031       8,303      X     28-5284       7201                1102
                                                             101,642       2,930      X   X 28-5284       2696                 234
                                                             140,460       4,049      X     28-13605       869                3180
                                                             186,147       5,366      X   X 28-13605      5366
                                                               2,255          65      X   X 28-13663                            65
FOREST OIL CORP                COM PAR $0.01  346091705       10,981         906      X     28-5284        906
                                                               3,575         295      X   X 28-5284        295
FORESTAR GROUP INC             COM            346233109      301,783      19,609      X     28-13605     19609
FORTRESS INVESTMENT GROUP LL   CL A           34958B106        6,230       1,750      X     28-5284       1750
FORTINET INC                   COM            34959E109       19,410         702      X     28-5284        702
                                                             260,601       9,425      X   X 28-5284        135                9290
                                                              41,475       1,500      X     28-13605                          1500
                                                             232,260       8,400      X   X 28-13605      8400
FORTUNE BRANDS HOME & SEC IN   COM            34964C106    1,543,201      69,923      X     28-5284      69367                 556
                                                           2,096,319      94,985      X   X 28-5284      91051                3934
                                                             134,627       6,100      X     28-13605      6094                   6
                                                             137,275       6,220      X   X 28-13605      6220
                                                               4,414         200      X   X 28-13663       200
FORWARD AIR CORP               COM            349853101      401,573      10,951      X     28-5284                          10951
                                                              57,315       1,563      X   X 28-5284                           1563
                                                              14,411         393      X     28-13663                           393
FOSSIL INC                     COM            349882100    1,900,644      14,401      X     28-5284      14401
                                                             432,103       3,274      X   X 28-5284       1174                2100
                                                           4,193,533      31,774      X     28-13605     31509                 265
                                                             694,479       5,262      X   X 28-13605      5241        21
FOSTER L B CO                  COM            350060109       34,925       1,225      X   X 28-5284                           1225
FRANCE TELECOM                 SPONSORED ADR  35177Q105       43,035       2,898      X     28-5284       2898
                                                              25,379       1,709      X   X 28-5284       1709
FRANCO NEVADA CORP             COM            351858105       68,768       1,600      X     28-5284       1600
FRANKLIN ELEC INC              COM            353514102      425,142       8,664      X     28-5284        634                8030
                                                              57,363       1,169      X   X 28-5284                           1169
                                                              14,279         291      X     28-13663                           291
               COLUMN TOTAL                               13,873,635






                                                                                                                   FILE NO. 28-1235
 PAGE    99 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FRANKLIN RES INC               COM            354613101   11,673,456      94,118      X     28-5284      90566                3552
                                                           6,156,229      49,635      X   X 28-5284      44528                5107
                                                           4,315,748      34,796      X     28-13605     20324               14472
                                                             857,667       6,915      X   X 28-13605      6903        12
                                                             115,596         932      X     28-13663       911                  21
                                                              80,620         650      X   X 28-13663       650
FRANKLIN UNVL TR               SH BEN INT     355145103        6,880       1,000      X     28-5284       1000
                                                              76,196      11,075      X   X 28-5284      11075
FREDS INC                      CL A           356108100        4,091         280      X     28-5284                            280
FREEPORT-MCMORAN COPPER & GO   COM            35671D857   24,525,986     644,742      X     28-5284     634062               10680
                                                          12,170,936     319,951      X   X 28-5284     303479               16472
                                                           4,332,033     113,881      X     28-13605    102889               10992
                                                           3,230,014      84,911      X   X 28-13605     82411                2500
                                                             149,155       3,921      X     28-13663      3720                 201
                                                             112,865       2,967      X   X 28-13663      2400                 567
FREIGHTCAR AMER INC            COM            357023100        2,249         100      X     28-5284        100
                                                              69,584       3,094      X     28-13605      3094
FRESENIUS MED CARE AG&CO KGA   SPONSORED ADR  358029106    2,404,926      34,040      X     28-5284       4455               29585
                                                             886,304      12,545      X   X 28-5284        616               11929
                                                               6,782          96      X     28-13605        96
                                                              18,440         261      X   X 28-13605       261
                                                              60,759         860      X     28-13663                           860
FRESH MKT INC                  COM            35804H106       28,291         590      X     28-5284        590
                                                               6,713         140      X   X 28-5284        140
FRONTIER COMMUNICATIONS CORP   COM            35906A108      846,648     203,033      X     28-5284     192716               10317
                                                           1,062,237     254,733      X   X 28-5284     240081               14652
                                                             108,720      26,072      X     28-13605     14320               11752
                                                              56,287      13,498      X   X 28-13605     12490                1008
                                                                 300          72      X     28-13663        72
                                                                 751         180      X   X 28-13663       180
FUELCELL ENERGY INC            COM            35952H106        1,565       1,000      X   X 28-5284       1000
FUEL SYS SOLUTIONS INC         COM            35952W103       20,928         800      X   X 28-5284        800
               COLUMN TOTAL                               73,388,956






                                                                                                                   FILE NO. 28-1235
 PAGE   100 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
FULTON FINL CORP PA            COM            360271100      550,883      52,465      X     28-5284      50981                1484
                                                           1,206,734     114,927      X   X 28-5284      63671               51256
                                                              85,365       8,130      X     28-13605      8130
                                                              85,134       8,108      X   X 28-13605      8108
FURIEX PHARMACEUTICALS INC     COM            36106P101       23,630       1,000      X   X 28-5284       1000
                                                                  71           3      X     28-13605         3
                                                                 733          31      X   X 28-13605        31
FUSHI COPPERWELD INC           COM            36113E107      257,062      34,048      X     28-13605     34048
G & K SVCS INC                 CL A           361268105       21,546         630      X     28-5284        500                 130
                                                              30,780         900      X   X 28-5284        900
GATX CORP                      COM            361448103       78,504       1,948      X     28-5284       1948
                                                              21,480         533      X   X 28-5284        533
GDL FUND                       COM SH BEN IT  361570104       12,810       1,044      X     28-5284       1044
GEO GROUP INC                  COM            36159R103       13,915         732      X     28-5284        732
                                                               4,810         253      X   X 28-5284        253
GNC HLDGS INC                  COM CL A       36191G107       32,099         920      X     28-5284        920
                                                               7,711         221      X   X 28-5284        221
GSV CAP CORP                   COM            36191J101        3,740         200      X   X 28-5284        200
GT ADVANCED TECHNOLOGIES INC   COM            36191U106      291,104      35,200      X     28-13605     35200
GP STRATEGIES CORP             COM            36225V104       10,938         625      X     28-5284        625
G-III APPAREL GROUP LTD        COM            36237H101       25,578         900      X   X 28-5284                            900
GAIAM INC                      CL A           36268Q103          139          35      X     28-5284         35
                                                              15,920       4,000      X   X 28-5284       4000
GALLAGHER ARTHUR J & CO        COM            363576109       67,477       1,888      X     28-5284       1087                 801
                                                              24,553         687      X   X 28-5284        687
GAMCO GLOBAL GOLD NAT RES &    COM SH BEN INT 36465A109       92,435       5,720      X     28-5284       5720
                                                             104,232       6,450      X   X 28-5284       6450
               COLUMN TOTAL                                3,069,383






                                                                                                                   FILE NO. 28-1235
 PAGE   101 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GAMESTOP CORP NEW              CL A           36467W109       40,164       1,839      X     28-5284       1527                 312
                                                              68,621       3,142      X   X 28-5284       2942                 200
                                                              50,363       2,306      X     28-13605       741                1565
                                                               1,092          50      X   X 28-13605        50
                                                               1,638          75      X     28-13663                            75
                                                               4,586         210      X   X 28-13663                           210
GANNETT INC                    COM            364730101      202,678      13,221      X     28-5284       2500               10721
                                                             400,757      26,142      X   X 28-5284      26089                  53
                                                              50,466       3,292      X     28-13605       699                2593
                                                              11,498         750      X   X 28-13605       750
                                                               1,364          89      X     28-13663                            89
GAP INC DEL                    COM            364760108      519,062      19,857      X     28-5284      18153                1704
                                                             157,938       6,042      X   X 28-5284       3268                2774
                                                             138,333       5,292      X     28-13605      1557                3735
                                                              11,632         445      X   X 28-13605       445
GARDNER DENVER INC             COM            365558105      250,189       3,970      X   X 28-5284        395                3575
                                                               9,453         150      X     28-13605                           150
                                                             192,526       3,055      X   X 28-13605      3055
GARTNER INC                    COM            366651107      427,509      10,026      X   X 28-5284      10026
                                                               2,217          52      X   X 28-13605        52
GAYLORD ENTMT CO NEW           COM            367905106       30,800       1,000      X     28-5284       1000
GEN-PROBE INC NEW              COM            36866T103      124,718       1,878      X   X 28-5284       1878
GENCORP INC                    COM            368682100        2,982         420      X     28-5284                            420
GENERAC HLDGS INC              COM            368736104      148,478       6,048      X     28-13605      6048
GENERAL AMERN INVS INC         COM            368802104       11,368         392      X     28-5284        392
                                                             157,383       5,427      X   X 28-5284       5427
GENERAL CABLE CORP DEL NEW     COM            369300108        1,774          61      X     28-5284         61
                                                               8,782         302      X   X 28-5284        302
GENERAL COMMUNICATION INC      CL A           369385109        5,145         590      X     28-5284        300                 290
               COLUMN TOTAL                                3,033,516






                                                                                                                   FILE NO. 28-1235
 PAGE   102 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GENERAL DYNAMICS CORP          COM            369550108   11,414,186     155,549      X     28-5284     154009                1540
                                                           7,766,613     105,841      X   X 28-5284     102166                3675
                                                           5,920,519      80,683      X     28-13605     76323                4360
                                                             416,432       5,675      X   X 28-13605      5675
                                                              12,842         175      X     28-13663       103                  72
GENERAL ELECTRIC CO            COM            369604103  221,320,139  11,027,411      X     28-5284   10851148              176263
                                                         247,597,730  12,336,708      X   X 28-5284   11764905      4350    567453
                                                          64,785,318   3,227,968      X     28-13605   2817797              410171
                                                          29,688,668   1,479,256      X   X 28-13605   1397886       513     80857
                                                           2,246,656     111,941      X     28-13663    108828                3113
                                                           3,981,507     198,381      X   X 28-13663    196317                2064
GENERAL GROWTH PPTYS INC NEW   COM            370023103       85,681       5,043      X     28-5284       5043
                                                              62,676       3,689      X   X 28-5284       3689
GENERAL MLS INC                COM            370334104   38,842,076     984,590      X     28-5284     974272               10318
                                                          39,015,300     988,981      X   X 28-5284     960595               28386
                                                           7,379,280     187,054      X     28-13605    179072                7982
                                                           4,938,548     125,185      X   X 28-13605    124885                 300
                                                             609,581      15,452      X     28-13663     15025                 427
                                                             653,687      16,570      X   X 28-13663     16570
GENERAL MTRS CO                COM            37045V100      243,855       9,507      X     28-5284       6055                3452
                                                             263,682      10,280      X   X 28-5284       9577                 703
                                                             141,896       5,532      X     28-13605      5532
                                                               3,848         150      X   X 28-13605       150
                                                             133,637       5,210      X   X 28-13663      5210
GENERAL MTRS CO                *W EXP 07/10/2 37045V118        5,288         318      X     28-5284        318
                                                               1,547          93      X   X 28-5284         93
                                                              80,639       4,849      X     28-13605      4849
GENERAL MTRS CO                *W EXP 07/10/2 37045V126        3,562         318      X     28-5284        318
                                                               1,042          93      X   X 28-5284         93
                                                              54,309       4,849      X     28-13605      4849
GENESCO INC                    COM            371532102       67,996         949      X     28-5284        779                 170
                                                              34,392         480      X   X 28-5284        480
                                                             241,532       3,371      X     28-13605      3371
               COLUMN TOTAL                              688,014,664






                                                                                                                   FILE NO. 28-1235
 PAGE   103 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GENESEE & WYO INC              CL A           371559105       27,290         500      X     28-5284        500
                                                             927,860      17,000      X   X 28-5284      11500                5500
                                                           1,558,696      28,558      X     28-13605     23974                4584
                                                               7,205         132      X   X 28-13605       132
GENTEX CORP                    COM            371901109      145,653       5,945      X     28-5284       5945
                                                              23,006         939      X   X 28-5284        939
GENESIS ENERGY L P             UNIT LTD PARTN 371927104       73,438       2,389      X     28-5284        500                1889
                                                             505,212      16,435      X   X 28-5284      12400                4035
GENOMIC HEALTH INC             COM            37244C101      306,100      10,000      X     28-5284      10000
GENON ENERGY INC               COM            37244E107          343         165      X     28-5284        165
                                                               1,514         728      X   X 28-5284        728
                                                                 356         171      X     28-13605       171
                                                                  79          38      X   X 28-13605        38
GENVEC INC                     COM NEW        37246C307          634         243      X   X 28-13605       243
GENUINE PARTS CO               COM            372460105    3,171,448      50,541      X     28-5284      46507                4034
                                                           3,565,016      56,813      X   X 28-5284      51392                5421
                                                             165,221       2,633      X     28-13605       865                1768
                                                              87,850       1,400      X   X 28-13605      1400
                                                             258,907       4,126      X     28-13663      4000                 126
                                                              18,951         302      X   X 28-13663       302
GENWORTH FINL INC              COM CL A       37247D106       41,459       4,983      X     28-5284         61                4922
                                                              18,512       2,225      X   X 28-5284       1708                 517
                                                              57,999       6,971      X     28-13605      1444                5527
                                                                 832         100      X   X 28-13605       100
GEORGIA GULF CORP              COM PAR$0.01 N 373200302       54,413       1,560      X   X 28-5284                           1560
GETTY RLTY CORP NEW            COM            374297109       70,110       4,500      X   X 28-5284       4500
GIBRALTAR INDS INC             COM            374689107       40,223       2,655      X   X 28-5284                           2655
GILEAD SCIENCES INC            COM            375558103    6,966,996     142,591      X     28-5284     109184               33407
                                                           5,180,821     106,034      X   X 28-5284      88151               17883
                                                           1,172,445      23,996      X     28-13605     15466                8530
                                                           1,784,221      36,517      X   X 28-13605     36517
                                                              85,114       1,742      X     28-13663       200                1542
               COLUMN TOTAL                               26,317,924






                                                                                                                   FILE NO. 28-1235
 PAGE   104 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GILDAN ACTIVEWEAR INC          COM            375916103      255,802       9,285      X     28-13605      3860                5425
GLACIER BANCORP INC NEW        COM            37637Q105      533,059      35,680      X     28-5284        300               35380
                                                              76,986       5,153      X   X 28-5284                           5153
                                                               3,735         250      X     28-13605       250
                                                              19,213       1,286      X     28-13663                          1286
GLADSTONE COML CORP            COM            376536108       17,210       1,000      X     28-5284       1000
GLADSTONE INVT CORP            COM            376546107        8,123       1,073      X     28-5284       1073
GLATFELTER                     COM            377316104    4,521,522     286,535      X     28-5284     286135                 400
                                                          15,417,060     977,000      X   X 28-5284     974800                2200
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105    7,232,037     161,034      X     28-5284     157117                3917
                                                          16,056,223     357,520      X   X 28-5284     338637               18883
                                                           1,583,437      35,258      X     28-13605     35258
                                                           3,487,666      77,659      X   X 28-13605     66279               11380
GLOBALSTAR INC                 COM            378973408       21,000      30,000      X   X 28-13605     30000
GLIMCHER RLTY TR               SH BEN INT     379302102       56,956       5,573      X     28-5284       5573
GLOBAL HIGH INCOME FUND INC    COM            37933G108       26,900       2,000      X     28-5284       2000
GLOBALSCAPE INC                COM            37940G109       10,000       5,000      X     28-13605      5000
GLOBAL PMTS INC                COM            37940X102      673,408      14,177      X     28-5284      14177
                                                              36,575         770      X   X 28-5284        570                 200
                                                             265,478       5,589      X     28-13605      5589
                                                               3,088          65      X   X 28-13605        65
GLOBAL GEOPHYSICAL SVCS INC    COM            37946S107      174,344      16,432      X     28-5284                          16432
                                                              25,379       2,392      X   X 28-5284                           2392
                                                               6,366         600      X     28-13663                           600
GLOBAL X FDS                   FTSE NORDIC RE 37950E101       33,283       1,795      X     28-5284       1795
GLOBAL X FDS                   GLB X LITHIUM  37950E762        6,692         400      X   X 28-5284        400
GLOBAL X FDS                   SILVER MNR ETF 37950E853       20,007         900      X   X 28-5284        900
GLOBE SPECIALTY METALS INC     COM            37954N206       29,740       2,000      X   X 28-5284       2000
               COLUMN TOTAL                               50,601,289






                                                                                                                   FILE NO. 28-1235
 PAGE   105 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GOL LINHAS AEREAS INTLG S A    SP ADR REP PFD 38045R107       13,460       2,000      X   X 28-5284       2000
GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106      132,106       9,504      X     28-5284       3385                6119
                                                             133,051       9,572      X   X 28-5284                           9572
                                                               2,419         174      X   X 28-13605       174
GOLD RESOURCE CORP             COM            38068T105       34,228       1,408      X     28-5284       1408
GOLDCORP INC NEW               COM            380956409      510,350      11,326      X     28-5284      11326
                                                             429,872       9,540      X   X 28-5284       9540
                                                             290,367       6,444      X     28-13605      6444
                                                              85,614       1,900      X   X 28-13605      1900
GOLDEN ENTERPRISES INC         COM            381010107          338         100      X     28-5284        100
GOLDEN STAR RES LTD CDA        COM            38119T104        1,860       1,000      X     28-5284       1000
GOLDMAN SACHS GROUP INC        COM            38141G104   21,293,636     171,212      X     28-5284     154806               16406
                                                          13,313,187     107,045      X   X 28-5284      76974               30071
                                                           5,951,478      47,853      X     28-13605     32455               15398
                                                           1,021,202       8,211      X   X 28-13605      8132         9        70
                                                             458,677       3,688      X     28-13663      1127                2561
                                                             158,572       1,275      X   X 28-13663      1275
GOODRICH CORP                  COM            382388106    3,976,323      31,699      X     28-5284      31300                 399
                                                           2,804,964      22,361      X   X 28-5284      19739                2622
                                                             575,644       4,589      X     28-13605      3025                1564
                                                             192,801       1,537      X   X 28-13605      1537
                                                              15,304         122      X     28-13663       100                  22
                                                              50,176         400      X   X 28-13663       400
GOODRICH PETE CORP             NOTE  5.000%10 382410AC2    1,970,000      20,000      X     28-5284      20000
GOODYEAR TIRE & RUBR CO        COM            382550101       21,722       1,936      X     28-5284       1900                  36
                                                              26,670       2,377      X   X 28-5284       2265                 112
                                                              39,405       3,512      X     28-13605       745                2767
                                                              14,586       1,300      X   X 28-13605      1300
                                                                 797          71      X     28-13663                            71
               COLUMN TOTAL                               53,518,809






                                                                                                                   FILE NO. 28-1235
 PAGE   106 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GOOGLE INC                     CL A           38259P508   82,430,120     128,548      X     28-5284     117746               10802
                                                          36,749,464      57,310      X   X 28-5284      45626               11684
                                                          42,088,429      65,636      X     28-13605     61686                3950
                                                           8,672,130      13,524      X   X 28-13605     12960        16       548
                                                           1,344,680       2,097      X     28-13663      1320                 777
                                                             507,221         791      X   X 28-13663       791
GORMAN RUPP CO                 COM            383082104      149,548       5,125      X     28-5284       5125
GOVERNMENT PPTYS INCOME TR     COM SHS BEN IN 38376A103       28,932       1,200      X   X 28-5284       1200
                                                              48,220       2,000      X   X 28-13663      2000
GRACE W R & CO DEL NEW         COM            38388F108       81,960       1,418      X   X 28-5284        760                 658
                                                             436,621       7,554      X     28-13605      7554
                                                              12,716         220      X   X 28-13605       220
GRACO INC                      COM            384109104      297,136       5,600      X     28-5284       5600
                                                           1,990,387      37,512      X   X 28-5284      35947                1565
                                                             178,016       3,355      X     28-13605      3355
                                                             573,048      10,800      X   X 28-13605     10800
GRAFTECH INTL LTD              COM            384313102       23,880       2,000      X     28-5284       2000
                                                               7,964         667      X   X 28-5284        667
GRAINGER W W INC               COM            384802104   22,178,918     103,249      X     28-5284      99480                3769
                                                           6,638,059      30,902      X   X 28-5284      22117                8785
                                                           1,944,675       9,053      X     28-13605      8362                 691
                                                             729,710       3,397      X   X 28-13605      3302                  95
                                                             213,951         996      X     28-13663       670                 326
GRAN TIERRA ENERGY INC         COM            38500T101        1,258         200      X   X 28-5284        200
GRAND CANYON ED INC            COM            38526M106      417,768      23,523      X     28-5284                          23523
                                                              61,219       3,447      X   X 28-5284                           3447
                                                               3,623         204      X     28-13605       204
                                                              15,220         857      X     28-13663                           857
GREAT SOUTHN BANCORP INC       COM            390905107       24,000       1,000      X     28-5284       1000
GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102       18,728         195      X     28-5284        195
                                                               4,322          45      X   X 28-5284         45
               COLUMN TOTAL                              207,871,923






                                                                                                                   FILE NO. 28-1235
 PAGE   107 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GREAT PLAINS ENERGY INC        COM            391164100      124,417       6,138      X     28-5284       6137                   1
                                                              55,803       2,753      X   X 28-5284       2753
                                                              27,365       1,350      X   X 28-13605      1350
GREAT WOLF RESORTS INC         COM            391523107          572         100      X   X 28-5284        100
GREATBATCH INC                 COM            39153L106        1,937          79      X     28-5284         79
                                                              22,068         900      X   X 28-5284                            900
GREATER CHINA FD INC           COM            39167B102       42,251       3,674      X     28-5284       3674
                                                              23,000       2,000      X   X 28-5284       2000
GREEN MTN COFFEE ROASTERS IN   COM            393122106      183,894       3,926      X     28-5284       3926
                                                             101,877       2,175      X   X 28-5284       2175
                                                              40,189         858      X     28-13605       858
                                                              11,710         250      X   X 28-13605       250
GREEN PLAINS RENEWABLE ENERG   COM            393222104        1,349         125      X     28-5284        125
GREENHAVEN CONT CMDTY INDEX    UNIT BEN INT   395258106       18,017         595      X   X 28-13605                           595
GREENHILL & CO INC             COM            395259104       53,284       1,221      X     28-5284       1221
                                                               5,019         115      X   X 28-5284        115
GREIF INC                      CL A           397624107       67,104       1,200      X     28-5284       1200
                                                             144,385       2,582      X   X 28-5284       2582
GREIF INC                      CL B           397624206        8,516         150      X   X 28-5284        150
GRIFFON CORP                   COM            398433102        3,659         342      X     28-5284          2                 340
                                                             349,505      32,664      X     28-13605     32664
GROUP 1 AUTOMOTIVE INC         COM            398905109        8,426         150      X     28-5284                            150
                                                             479,916       8,544      X     28-13605      8544
GRUPO FINANCIERO GALICIA S A   SP ADR 10 SH B 399909100       63,252       9,837      X     28-13605      9837
GRUPO TELEVISA SA              SPON ADR REP O 40049J206        6,746         320      X     28-5284        320
                                                               4,216         200      X   X 28-13605                           200
GRUPO TMM S A B                SP ADR 5 A SHS 40051D303        6,000       3,000      X   X 28-13605      3000
GUANWEI RECYCLING CORP         COM            400685103        1,860       2,000      X     28-5284       2000
               COLUMN TOTAL                                1,856,337






                                                                                                                   FILE NO. 28-1235
 PAGE   108 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
GUESS INC                      COM            401617105       13,406         429      X     28-5284        429
                                                               8,438         270      X   X 28-5284        270
GUIDEWIRE SOFTWARE INC         COM            40171V100       14,467         470      X   X 28-5284                            470
GULFMARK OFFSHORE INC          CL A NEW       402629208       28,725         625      X     28-5284        625
                                                              22,980         500      X   X 28-5284        500
GULFPORT ENERGY CORP           COM NEW        402635304        8,124         279      X     28-5284        279
                                                               4,514         155      X   X 28-5284        155
                                                             374,512      12,861      X     28-13605     12861
H & E EQUIPMENT SERVICES INC   COM            404030108       20,074       1,061      X     28-5284       1061
H & Q LIFE SCIENCES INVS       SH BEN INT     404053100      105,385       7,620      X     28-5284       7620
HCA HOLDINGS INC               COM            40412C101       11,999         485      X     28-5284        485
                                                              16,427         664      X   X 28-5284        664
HCC INS HLDGS INC              COM            404132102      368,180      11,812      X     28-5284       2476                9336
                                                               8,883         285      X   X 28-5284        285
                                                              94,913       3,045      X   X 28-13605      3000                  45
HCP INC                        COM            40414L109    2,921,974      74,049      X     28-5284      72087                1962
                                                           2,932,115      74,306      X   X 28-5284      65411                8895
                                                           4,892,211     123,979      X     28-13605     65744               58235
                                                             446,529      11,316      X   X 28-13605     11269        47
                                                               5,801         147      X     28-13663                           147
                                                              23,676         600      X   X 28-13663       600
HDFC BANK LTD                  ADR REPS 3 SHS 40415F101        2,387          70      X   X 28-5284         70
HFF INC                        CL A           40418F108      152,117       9,236      X     28-13605      9236
HMS HLDGS CORP                 COM            40425J101       70,223       2,250      X     28-5284       2250
                                                             604,943      19,383      X     28-13605     19383
                                                           1,123,560      36,000      X   X 28-13605     36000
HNI CORP                       COM            404251100      120,407       4,339      X     28-5284       4339
                                                              30,525       1,100      X   X 28-5284                           1100
               COLUMN TOTAL                               14,427,495






                                                                                                                   FILE NO. 28-1235
 PAGE   109 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HSBC HLDGS PLC                 SPON ADR NEW   404280406    2,094,675      47,188      X     28-5284      27643               19545
                                                             882,828      19,888      X   X 28-5284      12065                7823
                                                              36,932         832      X   X 28-13605       832
                                                              25,879         583      X     28-13663                           583
                                                             177,560       4,000      X   X 28-13663      4000
HSBC HLDGS PLC                 ADR A 1/40PF A 404280604      145,989       5,863      X     28-5284       5863
                                                             134,336       5,395      X   X 28-5284       5395
                                                              34,860       1,400      X   X 28-13605      1400
HSN INC                        COM            404303109       15,668         412      X   X 28-5284        412
                                                             886,593      23,313      X     28-13605     23278                  35
                                                               8,519         224      X   X 28-13605       224
HAEMONETICS CORP               COM            405024100       11,846         170      X     28-5284                            170
                                                              13,936         200      X   X 28-5284        200
HAIN CELESTIAL GROUP INC       COM            405217100    1,562,265      35,660      X     28-5284      18010               17650
                                                             738,505      16,857      X   X 28-5284        500               16357
                                                             104,706       2,390      X     28-13663                          2390
HALLIBURTON CO                 COM            406216101    6,403,579     192,937      X     28-5284     131530               61407
                                                           7,460,548     224,783      X   X 28-5284     187362               37421
                                                           1,409,247      42,460      X     28-13605     31177               11283
                                                           1,230,752      37,082      X   X 28-13605     33308                3774
                                                             130,968       3,946      X     28-13663                          3946
HALOZYME THERAPEUTICS INC      COM            40637H109      156,795      12,288      X     28-13605     12288
HAMPTON ROADS BANKSHARES INC   COM NEW        409321502        1,091         360      X   X 28-13605       360
JOHN HANCOCK BK &THRIFT OPP    SH BEN INT NEW 409735206       43,125       2,500      X   X 28-5284       2500
HANCOCK HLDG CO                COM            410120109       38,315       1,079      X   X 28-13605      1079
HANCOCK JOHN INCOME SECS TR    COM            410123103        4,575         300      X     28-5284        300
HANCOCK JOHN PREMUIM DIV FD    COM SH BEN INT 41013T105      394,913      29,318      X     28-5284      29318
                                                               2,694         200      X     28-13605       200
                                                               2,694         200      X   X 28-13605       200
HANCOCK JOHN TAX-ADV DIV INC   COM            41013V100       41,181       2,324      X     28-5284       2324
               COLUMN TOTAL                               24,195,574






                                                                                                                   FILE NO. 28-1235
 PAGE   110 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HANCOCK JOHN INVS TR           COM            410142103       10,355         450      X     28-13605       450
HANESBRANDS INC                COM            410345102      166,251       5,628      X     28-5284       5608                  20
                                                             147,995       5,010      X   X 28-5284       4979                  31
                                                               7,385         250      X   X 28-13605       250
HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208        5,705         261      X     28-13605       261
HANOVER INS GROUP INC          COM            410867105      108,063       2,628      X     28-5284       2628
                                                              40,585         987      X   X 28-5284        296                 691
                                                               4,112         100      X     28-13605       100
HARLEY DAVIDSON INC            COM            412822108      808,200      16,467      X     28-5284      15731                 736
                                                           1,981,556      40,374      X   X 28-5284      32741                7633
                                                             174,528       3,556      X     28-13605       980                2576
                                                              31,951         651      X   X 28-13605       651
                                                               2,307          47      X     28-13663                            47
HARLEYSVILLE GROUP INC         COM            412824104       94,051       1,630      X     28-5284       1630
                                                             196,180       3,400      X   X 28-5284       3400
HARMAN INTL INDS INC           COM            413086109      499,510      10,671      X     28-5284        131               10540
                                                             276,507       5,907      X   X 28-5284       3414                2493
                                                             233,582       4,990      X     28-13605      4215                 775
                                                              18,677         399      X     28-13663                           399
HARMONIC INC                   COM            413160102        4,650         850      X     28-5284                            850
                                                              33,914       6,200      X   X 28-5284       2200                4000
                                                               2,155         394      X     28-13605       394
                                                               4,650         850      X   X 28-13605       850
HARMONY GOLD MNG LTD           SPONSORED ADR  413216300       21,314       1,950      X     28-5284       1950
                                                               5,465         500      X   X 28-5284        500
HARRIS & HARRIS GROUP INC      COM            413833104       41,500      10,000      X   X 28-5284      10000
                                                              12,450       3,000      X   X 28-13605      3000
HARRIS CORP DEL                COM            413875105      661,279      14,669      X     28-5284      13855                 814
                                                             783,310      17,376      X   X 28-5284      12701                4675
                                                             173,964       3,859      X     28-13605      2548                1311
               COLUMN TOTAL                                6,552,151






                                                                                                                   FILE NO. 28-1235
 PAGE   111 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HARSCO CORP                    COM            415864107      401,541      17,116      X     28-5284      16216                 900
                                                             119,646       5,100      X   X 28-5284       4250                 850
                                                               2,252          96      X     28-13605        96
                                                              14,053         599      X   X 28-13605       599
HARTFORD FINL SVCS GROUP INC   COM            416515104      215,648      10,230      X     28-5284       7188                3042
                                                             209,620       9,944      X   X 28-5284       8422                1522
                                                             140,878       6,683      X     28-13605      2006                4677
                                                              23,399       1,110      X   X 28-13605      1110
HARTFORD FINL SVCS GROUP INC   DEP CONV PFD   416515708        6,432         300      X   X 28-13605       300
HASBRO INC                     COM            418056107    1,464,504      39,883      X     28-5284      34891                4992
                                                             494,802      13,475      X   X 28-5284      11475                2000
                                                             107,883       2,938      X     28-13605      1611                1327
                                                              30,845         840      X   X 28-13605       840
                                                             121,176       3,300      X   X 28-13663      3300
HATTERAS FINL CORP             COM            41902R103      127,698       4,577      X     28-5284       4577
                                                              50,220       1,800      X   X 28-5284       1800
                                                             128,703       4,613      X     28-13605      4613
                                                               5,580         200      X   X 28-13605       200
HAWAIIAN ELEC INDUSTRIES       COM            419870100       11,408         450      X     28-5284        450
                                                             293,325      11,571      X   X 28-5284      10571                1000
                                                              20,280         800      X   X 28-13605       800
HEALTHCARE SVCS GRP INC        COM            421906108       53,856       2,532      X     28-5284                           2532
                                                             422,699      19,873      X   X 28-5284       2875               16998
                                                              35,904       1,688      X     28-13605       188                1500
                                                             231,737      10,895      X   X 28-13605     10895
HEALTH MGMT ASSOC INC NEW      CL A           421933102      425,994      63,392      X     28-5284       3774               59618
                                                              58,309       8,677      X   X 28-5284                           8677
                                                             591,810      88,067      X     28-13605     88067
                                                              14,623       2,176      X     28-13663                          2176
HEALTHCARE RLTY TR             COM            421946104       19,360         880      X     28-5284        880
                                                               8,800         400      X     28-13605       400
HEALTH CARE REIT INC           NOTE  4.750% 7 42217KAQ9      334,500       3,000      X     28-13605      3000
               COLUMN TOTAL                                6,187,485






                                                                                                                   FILE NO. 28-1235
 PAGE   112 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HEALTH CARE REIT INC           COM            42217K106   18,651,775     339,370      X     28-5284     337943                1427
                                                          13,030,411     237,089      X   X 28-5284     222989               14100
                                                           5,687,920     103,492      X     28-13605    100933                2559
                                                           1,604,282      29,190      X   X 28-13605     28765                 425
                                                             398,075       7,243      X     28-13663      7200                  43
                                                             455,344       8,285      X   X 28-13663      8285
HEALTH NET INC                 COM            42222G108       41,507       1,045      X     28-5284       1045
                                                              11,956         301      X   X 28-5284        301
HEALTHWAYS INC                 COM            422245100        5,873         798      X     28-5284        798
HEARTLAND FINL USA INC         COM            42234Q102        5,202         300      X     28-5284        300
HEARTLAND EXPRESS INC          COM            422347104        5,972         413      X     28-5284                            413
                                                             174,098      12,040      X   X 28-5284                          12040
                                                               3,904         270      X     28-13605       270
HEARTLAND PMT SYS INC          COM            42235N108       51,825       1,797      X   X 28-5284       1797
HECKMANN CORP                  COM            422680108       38,790       9,000      X     28-5284       9000
HECLA MNG CO                   COM            422704106        4,906       1,062      X     28-5284       1062
                                                              16,286       3,525      X   X 28-5284       3525
HECLA MNG CO                   PFD CV SER B   422704205       10,820         200      X   X 28-5284        200
HEICO CORP NEW                 COM            422806109        8,048         156      X   X 28-5284        156
                                                           1,934,264      37,493      X     28-13605     31041                6452
                                                               9,544         185      X   X 28-13605       185
HEICO CORP NEW                 CL A           422806208       84,074       2,094      X   X 28-5284                           2094
HEIDRICK & STRUGGLES INTL IN   COM            422819102        2,423         110      X     28-5284                            110
HEINZ H J CO                   COM            423074103   26,873,264     501,835      X     28-5284     497857                3978
                                                          37,538,282     700,995      X   X 28-5284     656318               44677
                                                           1,027,143      19,181      X     28-13605     15325                3856
                                                           1,532,119      28,611      X   X 28-13605      7805               20806
                                                             647,794      12,097      X     28-13663     11975                 122
                                                             388,452       7,254      X   X 28-13663      7254
HELIOS ADVANTAGE INCOME FD I   COM NEW        42327W206        9,365       1,007      X   X 28-5284       1007
               COLUMN TOTAL                              110,253,718






                                                                                                                   FILE NO. 28-1235
 PAGE   113 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HELIOS HIGH INCOME FD INC      COM NEW        42327X204        9,461       1,063      X   X 28-5284       1063
HELIOS MULTI SEC HI INC FD I   COM NEW        42327Y202        6,106       1,006      X   X 28-5284       1006
HELIOS STRATEGIC INCOME FD I   COM NEW        42328A203       15,224       2,563      X   X 28-5284       2563
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107       32,325       1,816      X     28-5284       1816
HELMERICH & PAYNE INC          COM            423452101      471,955       8,748      X     28-5284       2313                6435
                                                             811,030      15,033      X   X 28-5284      10023                5010
                                                              89,071       1,651      X     28-13605       404                1247
                                                               8,093         150      X   X 28-13605       150
                                                              20,933         388      X     28-13663                           388
HENRY JACK & ASSOC INC         COM            426281101       29,173         855      X     28-5284                            855
                                                             109,048       3,196      X   X 28-5284       1500                1696
HERCULES OFFSHORE INC          COM            427093109        4,730       1,000      X     28-5284       1000
HERCULES TECH GROWTH CAP INC   COM            427096508       12,864       1,161      X     28-5284       1161
HERSHA HOSPITALITY TR          SH BEN INT A   427825104       24,799       4,542      X     28-5284       4542
HERSHEY CO                     COM            427866108   41,438,841     675,670      X     28-5284     667459                8211
                                                           8,802,756     143,531      X   X 28-5284     136683                6848
                                                          36,200,033     590,250      X     28-13605    578288               11962
                                                           8,194,117     133,607      X   X 28-13605    128519       160      4928
                                                             161,727       2,637      X     28-13663      2616                  21
                                                             134,926       2,200      X   X 28-13663      2200
HERTZ GLOBAL HOLDINGS INC      COM            42805T105       52,851       3,514      X   X 28-5284       3514
                                                               2,121         141      X   X 28-13605       141
HESS CORP                      COM            42809H107    1,667,872      28,293      X     28-5284      27368                 925
                                                           1,563,708      26,526      X   X 28-5284      24169                2357
                                                             402,452       6,827      X     28-13605      3283                3544
                                                              66,555       1,129      X   X 28-13605      1129
                                                              16,506         280      X     28-13663       175                 105
                                                              22,991         390      X   X 28-13663       390
               COLUMN TOTAL                              100,372,268






                                                                                                                   FILE NO. 28-1235
 PAGE   114 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HEWLETT PACKARD CO             COM            428236103   13,461,686     564,905      X     28-5284     545894               19011
                                                          15,352,692     644,259      X   X 28-5284     596169               48090
                                                           5,223,298     219,190      X     28-13605    195891               23299
                                                           1,830,549      76,817      X   X 28-13605     73398                3419
                                                             157,612       6,614      X     28-13663      6025                 589
                                                              16,085         675      X   X 28-13663       675
HEXCEL CORP NEW                COM            428291108       99,834       4,158      X     28-5284       4158
                                                             256,787      10,695      X   X 28-5284       2335                8360
                                                             192,824       8,031      X     28-13605      8031
HIBBETT SPORTS INC             COM            428567101        6,764         124      X     28-13605       124
HIGHWOODS PPTYS INC            COM            431284108      258,163       7,748      X     28-5284       7748
                                                                 300           9      X   X 28-5284          9
HILL ROM HLDGS INC             COM            431475102    6,790,048     203,234      X     28-5284     203234
                                                          10,725,412     321,024      X   X 28-5284       1474              319550
HILLENBRAND INC                COM            431571108    7,118,149     310,159      X     28-5284     310159
                                                          10,889,775     474,500      X   X 28-5284       1200              473300
                                                              22,950       1,000      X   X 28-13605      1000
HITTITE MICROWAVE CORP         COM            43365Y104       43,448         800      X   X 28-5284                            800
                                                               4,888          90      X     28-13605        90
HOKU CORP                      COM            434711107          625       1,000      X     28-5284       1000
HOLLY ENERGY PARTNERS L P      COM UT LTD PTN 435763107       24,416         400      X     28-5284        400
                                                              25,881         424      X   X 28-5284        424
HOLLYFRONTIER CORP             COM            436106108       33,886       1,054      X     28-5284       1054
                                                              56,359       1,753      X   X 28-5284       1753
HOLOGIC INC                    COM            436440101       77,558       3,599      X     28-5284       3599
                                                              42,863       1,989      X   X 28-5284       1989
HOME BANCSHARES INC            COM            436893200    1,546,334      58,111      X     28-13605     46545               11566
                                                               8,595         323      X   X 28-13605       323
               COLUMN TOTAL                               74,267,781






                                                                                                                   FILE NO. 28-1235
 PAGE   115 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HOME DEPOT INC                 COM            437076102   91,654,959   1,821,804      X     28-5284    1795510               26294
                                                          52,195,719   1,037,482      X   X 28-5284    1000586               36896
                                                          49,025,083     974,460      X     28-13605    884050               90410
                                                          11,624,729     231,062      X   X 28-13605    223320       237      7505
                                                             740,714      14,723      X     28-13663     12315                2408
                                                             300,351       5,970      X   X 28-13663      5970
HOME PROPERTIES INC            COM            437306103        6,101         100      X     28-5284        100
                                                              67,111       1,100      X   X 28-5284        600                 500
HONDA MOTOR LTD                AMERN SHS      438128308      740,123      19,259      X     28-5284      18984                 275
                                                           1,099,252      28,604      X   X 28-5284      20954                7650
                                                              20,752         540      X     28-13605       540
                                                               9,992         260      X   X 28-13605       260
HONEYWELL INTL INC             COM            438516106   18,714,939     306,551      X     28-5284     298117                8434
                                                          16,683,805     273,281      X   X 28-5284     235994               37287
                                                           3,307,323      54,174      X     28-13605     45384                8790
                                                           1,749,449      28,656      X   X 28-13605     28656
                                                             128,816       2,110      X     28-13663      1850                 260
                                                             376,679       6,170      X   X 28-13663      6170
HORACE MANN EDUCATORS CORP N   COM            440327104      149,541       8,487      X     28-13605      8487
HORIZON TECHNOLOGY FIN CORP    COM            44045A102       87,651       5,277      X   X 28-5284       5277
HORMEL FOODS CORP              COM            440452100      436,365      14,782      X     28-5284      14050                 732
                                                           1,727,806      58,530      X   X 28-5284      58510                  20
                                                              64,295       2,178      X     28-13605       584                1594
                                                               4,103         139      X   X 28-13605       139
                                                              59,630       2,020      X     28-13663      2000                  20
HORNBECK OFFSHORE SVCS INC N   COM            440543106       42,030       1,000      X   X 28-5284       1000
HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102        5,956         225      X     28-5284        225
                                                              32,664       1,234      X   X 28-5284       1234
HOSPIRA INC                    COM            441060100    1,755,087      46,940      X     28-5284      46245                 695
                                                           2,324,686      62,174      X   X 28-5284      59828                2346
                                                             117,031       3,130      X     28-13605      1337                1793
                                                              93,849       2,510      X   X 28-13605      2505                   5
                                                                 972          26      X     28-13663                            26
                                                               3,814         102      X   X 28-13663       102
               COLUMN TOTAL                              255,351,377






                                                                                                                   FILE NO. 28-1235
 PAGE   116 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HOST HOTELS & RESORTS INC      COM            44107P104      310,699      18,922      X     28-5284      12960                5962
                                                              99,390       6,053      X   X 28-5284       5000                1053
                                                             172,919      10,531      X     28-13605      2639                7892
                                                               6,781         413      X   X 28-13605       413
                                                                 657          40      X     28-13663                            40
HOT TOPIC INC                  COM            441339108       34,003       3,350      X     28-5284       3000                 350
HOWARD HUGHES CORP             COM            44267D107        9,261         145      X   X 28-5284        145
                                                               6,387         100      X   X 28-13605       100
HUANENG PWR INTL INC           SPON ADR H SHS 443304100       10,960         500      X     28-5284        500
                                                              87,680       4,000      X   X 28-5284       4000
HUB GROUP INC                  CL A           443320106       77,104       2,140      X   X 28-5284                           2140
                                                             155,469       4,315      X     28-13605      4315
HUBBELL INC                    CL A           443510102       74,410         984      X     28-5284        984
                                                             334,089       4,418      X   X 28-5284       1768                2650
HUBBELL INC                    CL B           443510201      740,695       9,426      X     28-5284       9426
                                                           1,115,836      14,200      X   X 28-5284      12800                1400
                                                              99,011       1,260      X   X 28-13605      1260
HUDSON CITY BANCORP            COM            443683107    1,014,525     138,691      X     28-5284     134963                3728
                                                             789,596     107,942      X   X 28-5284     105194                2748
                                                             106,521      14,562      X     28-13605      8512                6050
                                                               6,218         850      X   X 28-13605       850
                                                               4,389         600      X     28-13663       600
HUMANA INC                     COM            444859102    6,059,752      65,525      X     28-5284      64088                1437
                                                           1,042,157      11,269      X   X 28-5284       9946                1323
                                                             249,881       2,702      X     28-13605       833                1869
                                                             180,244       1,949      X   X 28-13605      1949
                                                               4,624          50      X     28-13663                            50
HUMAN GENOME SCIENCES INC      COM            444903108       18,944       2,299      X     28-5284       1869                 430
                                                               4,120         500      X   X 28-5284        500
                                                                 379          46      X     28-13605        46
HUNT J B TRANS SVCS INC        COM            445658107       96,289       1,771      X     28-5284       1771
                                                              37,080         682      X   X 28-5284        682
               COLUMN TOTAL                               12,950,070






                                                                                                                   FILE NO. 28-1235
 PAGE   117 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
HUNTINGTON BANCSHARES INC      COM            446150104      253,385      39,315      X     28-5284      31192                8123
                                                             173,055      26,851      X   X 28-5284      25561                1290
                                                              74,085      11,495      X     28-13605      2412                9083
                                                               6,033         936      X     28-13663                           936
HUNTINGTON BANCSHARES INC      PFD CONV SER A 446150401      280,600         244      X     28-5284        244
HUNTINGTON INGALLS INDS INC    COM            446413106      102,773       2,554      X     28-5284       2522                  32
                                                             229,207       5,696      X   X 28-5284       5676                  20
                                                              96,415       2,396      X     28-13605      2372                  24
                                                              31,951         794      X   X 28-13605       794
                                                              11,670         290      X   X 28-13663       290
HUNTSMAN CORP                  COM            447011107      103,352       7,377      X     28-5284       7377
                                                              73,216       5,226      X   X 28-5284       3326                1900
                                                             325,438      23,229      X     28-13605     23229
HURON CONSULTING GROUP INC     COM            447462102      176,156       4,690      X   X 28-5284                           4690
HYATT HOTELS CORP              COM CL A       448579102       94,838       2,220      X     28-5284        460                1760
                                                             363,077       8,499      X   X 28-5284         99                8400
IDT CORP                       CL B NEW       448947507       76,485       8,189      X     28-13605      8189
HYPERDYNAMICS CORP             COM            448954107        6,450       5,000      X   X 28-5284       5000
IAC INTERACTIVECORP            COM PAR $.001  44919P508       76,433       1,557      X     28-5284       1557
                                                              65,977       1,344      X   X 28-5284        544                 800
                                                             342,403       6,975      X     28-13605      6975
ICF INTL INC                   COM            44925C103       22,833         900      X     28-5284                            900
                                                           1,638,395      64,580      X     28-13605     52858               11722
                                                               9,260         365      X   X 28-13605       365
ICU MED INC                    COM            44930G107        1,475          30      X     28-5284         30
                                                               4,916         100      X     28-13605       100
ICAD INC                       COM            44934S107        4,900      10,000      X     28-5284      10000
ING PRIME RATE TR              SH BEN INT     44977W106        4,788         840      X     28-5284        840
IPG PHOTONICS CORP             COM            44980X109        7,443         143      X     28-5284        143
                                                               1,666          32      X   X 28-5284         32
               COLUMN TOTAL                                4,658,675






                                                                                                                   FILE NO. 28-1235
 PAGE   118 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ING RISK MANAGED NAT RES FD    COM            449810100       30,675       2,500      X     28-5284       2500
                                                              12,270       1,000      X   X 28-5284       1000
ING ASIA PAC HGH DIVID EQ IN   COM            44983J107       58,133       3,604      X     28-5284       3604
IPC THE HOSPITALIST CO INC     COM            44984A105       11,073         300      X   X 28-5284        300
                                                               2,215          60      X     28-13605        60
ISTAR FINL INC                 COM            45031U101        7,250       1,000      X     28-5284       1000
                                                               7,250       1,000      X   X 28-5284       1000
ITT EDUCATIONAL SERVICES INC   COM            45068B109        2,050          31      X   X 28-13663                            31
IXIA                           COM            45071R109      441,039      35,269      X     28-5284       2491               32778
                                                              59,624       4,768      X   X 28-5284                           4768
                                                              14,843       1,187      X     28-13663                          1187
IBERIABANK CORP                COM            450828108      533,898       9,985      X     28-5284         50                9935
                                                             118,490       2,216      X   X 28-5284                           2216
                                                              73,200       1,369      X     28-13605      1369
                                                              19,249         360      X     28-13663                           360
ITT CORP NEW                   COM NEW        450911201    1,919,527      83,676      X     28-5284      83123                 553
                                                           1,696,505      73,954      X   X 28-5284      68976                4978
                                                             591,944      25,804      X     28-13605     25702                 102
                                                              57,901       2,524      X   X 28-13605      2524
                                                              10,828         472      X     28-13663       412                  60
                                                              40,306       1,757      X   X 28-13663      1757
IAMGOLD CORP                   COM            450913108        6,379         480      X     28-5284        480
ICON PUB LTD CO                SPONSORED ADR  45103T107       61,623       2,904      X     28-5284       2904
                                                             221,749      10,450      X   X 28-5284                          10450
ICICI BK LTD                   ADR            45104G104    2,218,429      63,620      X     28-5284       9050               54570
                                                             792,142      22,717      X   X 28-5284        867               21850
                                                              55,792       1,600      X     28-13663                          1600
ICONIX BRAND GROUP INC         COM            451055107        1,668          96      X     28-5284         96
                                                               2,868         165      X   X 28-5284        165
IDACORP INC                    COM            451107106        2,508          61      X     28-5284         61
                                                              23,109         562      X   X 28-5284        262                 300
               COLUMN TOTAL                                9,094,537






                                                                                                                   FILE NO. 28-1235
 PAGE   119 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
IDENIX PHARMACEUTICALS INC     COM            45166R204       76,656       7,830      X   X 28-5284                           7830
IDEX CORP                      COM            45167R104       94,793       2,250      X     28-5284       2250
                                                              70,189       1,666      X   X 28-5284        366                1300
IDEXX LABS INC                 COM            45168D104      949,707      10,860      X     28-5284       3280                7580
                                                           1,088,228      12,444      X   X 28-5284       2362               10082
                                                             202,184       2,312      X     28-13605      2062                 250
                                                             772,708       8,836      X   X 28-13605      8086                 750
IGATE CORP                     COM            45169U105        1,475          88      X     28-13605        88
IHS INC                        CL A           451734107       26,035         278      X   X 28-5284        278
                                                             183,179       1,956      X     28-13605      1956
ILLINOIS TOOL WKS INC          COM            452308109   29,940,362     524,166      X     28-5284     515210                8956
                                                          23,303,875     407,981      X   X 28-5284     341505               66476
                                                           5,733,648     100,379      X     28-13605     94224                6155
                                                           2,440,795      42,731      X   X 28-13605     37531                5200
                                                             325,470       5,698      X     28-13663      5679                  19
                                                             254,070       4,448      X   X 28-13663      4448
ILLUMINA INC                   COM            452327109      413,041       7,851      X     28-5284       7851
                                                             119,688       2,275      X   X 28-5284       2275
                                                              32,197         612      X     28-13605       612
                                                               9,996         190      X   X 28-13605       190
IMATION CORP                   COM            45245A107           19           3      X     28-5284          3
                                                               1,758         284      X   X 28-5284        284
                                                               1,882         304      X   X 28-13605       304
IMAX CORP                      COM            45245E109        8,921         365      X   X 28-5284        365
                                                               2,322          95      X     28-13605        95
IMMUNOGEN INC                  COM            45253H101       30,708       2,134      X     28-5284       2134
                                                               7,195         500      X   X 28-5284        500
IMPAX LABORATORIES INC         COM            45256B101       34,854       1,418      X   X 28-5284         18                1400
                                                               2,458         100      X     28-13605       100
               COLUMN TOTAL                               66,128,413






                                                                                                                   FILE NO. 28-1235
 PAGE   120 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
IMPERIAL OIL LTD               COM NEW        453038408      406,195       8,949      X     28-5284       8949
                                                             748,436      16,489      X   X 28-5284       6589                9900
                                                              36,040         794      X     28-13605       794
                                                             181,560       4,000      X   X 28-13605      4000
IMPERIAL SUGAR CO NEW          COM NEW        453096208        4,690       1,000      X     28-5284       1000
INCYTE CORP                    COM            45337C102       21,230       1,100      X     28-5284       1100
INDIA FD INC                   COM            454089103       11,886         533      X     28-5284        533
                                                              40,921       1,835      X   X 28-5284       1835
INERGY L P                     UNIT LTD PTNR  456615103      340,496      20,800      X     28-5284      20800
                                                              78,953       4,823      X   X 28-5284       3363                1460
INFORMATICA CORP               COM            45666Q102    1,792,675      33,888      X     28-5284      33288                 600
                                                             257,940       4,876      X   X 28-5284       4876
                                                           4,273,844      80,791      X     28-13605     80109                 682
                                                             729,438      13,789      X   X 28-13605     13735        54
                                                              74,060       1,400      X     28-13663      1400
                                                              52,900       1,000      X   X 28-13663      1000
INFINERA CORPORATION           COM            45667G103        8,120       1,000      X   X 28-5284       1000
INFOSPACE INC                  COM PAR $.0001 45678T300       11,529         900      X   X 28-5284                            900
INFOSYS LTD                    SPONSORED ADR  456788108        5,304          93      X     28-5284         93
                                                              62,562       1,097      X   X 28-5284         97                1000
ING GROEP N V                  SPONSORED ADR  456837103       77,800       9,351      X     28-5284       6892                2459
                                                              13,354       1,605      X   X 28-5284        364                1241
ING GLOBAL EQTY DIV & PREM O   COM            45684E107        9,590       1,000      X   X 28-5284       1000
ING INFRASTRUCTURE INDLS & M   COM            45685U100        9,240         500      X     28-5284        500
INGERSOLL-RAND GLOBAL HLDG C   NOTE  4.500% 4 45687AAD4      463,250       2,000      X   X 28-5284       2000
INGRAM MICRO INC               CL A           457153104        3,935         212      X     28-5284        212
                                                               9,484         511      X   X 28-5284        511
                                                             804,112      43,325      X     28-13605     42790                 535
                                                              80,810       4,354      X   X 28-13605      4354
               COLUMN TOTAL                               10,610,354






                                                                                                                   FILE NO. 28-1235
 PAGE   121 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INLAND REAL ESTATE CORP        COM NEW        457461200        1,774         200      X     28-5284        200
INSIGHT ENTERPRISES INC        COM            45765U103        6,360         290      X     28-5284                            290
INNOSPEC INC                   COM            45768S105       24,000         790      X     28-5284        790
                                                             252,701       8,318      X     28-13605      8318
                                                               3,038         100      X   X 28-13605                           100
INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105        6,615       1,500      X     28-5284       1500
INNOPHOS HOLDINGS INC          COM            45774N108        2,506          50      X     28-5284         50
INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208      367,714      10,600      X     28-5284      10600
INTEL CORP                     COM            458140100  189,750,806   6,749,095      X     28-5284    6636888              112207
                                                         135,113,971   4,805,761      X   X 28-5284    4517900              287861
                                                          62,643,144   2,228,104      X     28-13605   1949454              278650
                                                          20,452,482     727,458      X   X 28-13605    690451       480     36527
                                                           1,677,622      59,670      X     28-13663     57315                2355
                                                           2,512,131      89,352      X   X 28-13663     88377                 975
INTEGRYS ENERGY GROUP INC      COM            45822P105      243,118       4,588      X     28-5284       2160                2428
                                                             219,750       4,147      X   X 28-5284       4067                  80
                                                             222,717       4,203      X     28-13605      3287                 916
                                                              15,102         285      X   X 28-13605       285
                                                                 901          17      X     28-13663                            17
                                                             105,980       2,000      X   X 28-13663      2000
INTERCONTINENTAL HTLS GRP PL   SPONS ADR NEW  45857P301       80,016       3,446      X     28-5284       3446
                                                               6,966         300      X   X 28-5284        300
INTERCONTINENTALEXCHANGE INC   COM            45865V100    1,364,993       9,933      X     28-5284       5156                4777
                                                           1,319,369       9,601      X   X 28-5284       3299                6302
                                                           4,188,287      30,478      X     28-13605     16988               13490
                                                             313,867       2,284      X   X 28-13605      2149        11       124
                                                              77,505         564      X     28-13663       150                 414
INTERFACE INC                  CL A           458665106        5,301         380      X     28-5284                            380
                                                              69,750       5,000      X   X 28-5284       5000
INTERDIGITAL INC               COM            45867G101      117,653       3,375      X     28-5284       3375
                                                               6,310         181      X   X 28-5284        181
               COLUMN TOTAL                              421,172,449






                                                                                                                   FILE NO. 28-1235
 PAGE   122 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTERMEC INC                   COM            458786100       17,006       2,200      X   X 28-5284                           2200
INTERMUNE INC                  COM            45884X103       88,900       6,060      X   X 28-5284       6060
INTERNATIONAL BANCSHARES COR   COM            459044103        6,345         300      X     28-5284        300
INTERNATIONAL BUSINESS MACHS   COM            459200101  292,364,136   1,401,218      X     28-5284    1380138               21080
                                                         284,317,757   1,362,654      X   X 28-5284    1302619               60035
                                                          77,425,842     371,080      X     28-13605    353406               17674
                                                          39,503,705     189,330      X   X 28-13605    183136        81      6113
                                                           3,635,935      17,426      X     28-13663     17040                 386
                                                          11,746,995      56,300      X   X 28-13663     56300
INTERNATIONAL FLAVORS&FRAGRA   COM            459506101      671,966      11,467      X     28-5284      11130                 337
                                                             237,682       4,056      X   X 28-5284       1527                2529
                                                              67,976       1,160      X     28-13605       242                 918
                                                              82,040       1,400      X   X 28-13605      1400
INTERNATIONAL GAME TECHNOLOG   NOTE  3.250% 5 459902AQ5      453,500       4,000      X   X 28-5284       4000
INTERNATIONAL GAME TECHNOLOG   COM            459902102      746,232      44,445      X     28-5284       1809               42636
                                                             413,722      24,641      X   X 28-5284      10000               14641
                                                              74,699       4,449      X     28-13605      1253                3196
                                                              31,213       1,859      X     28-13663                          1859
INTL PAPER CO                  COM            460146103    4,291,888     122,276      X     28-5284     115260                7016
                                                           1,705,965      48,603      X   X 28-5284      47034                1569
                                                           3,816,388     108,729      X     28-13605    103583                5146
                                                           1,425,200      40,604      X   X 28-13605     39862                 742
                                                              88,066       2,509      X     28-13663      2360                 149
                                                              51,562       1,469      X   X 28-13663      1469
INTERNATIONAL RECTIFIER CORP   COM            460254105        3,945         171      X     28-5284        171
                                                               3,714         161      X   X 28-5284        161
                                                               2,307         100      X     28-13605       100
INTERNATIONAL SHIPHOLDING CO   COM NEW        460321201       46,180       2,000      X     28-5284       2000
INTERSIL CORP                  CL A           46069S109       76,832       6,860      X     28-5284                           6860
               COLUMN TOTAL                              723,397,698






                                                                                                                   FILE NO. 28-1235
 PAGE   123 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INTERPUBLIC GROUP COS INC      COM            460690100       75,888       6,651      X     28-5284       4076                2575
                                                              63,337       5,551      X   X 28-5284       5551
                                                              74,781       6,554      X     28-13605      1382                5172
                                                                  23           2      X   X 28-13605         2
INTERSECTIONS INC              COM            460981301      137,717      10,776      X     28-13605     10776
INTERVAL LEISURE GROUP INC     COM            46113M108          209          12      X   X 28-5284         12
INTUITIVE SURGICAL INC         COM NEW        46120E602    5,089,200       9,394      X     28-5284       5769                3625
                                                           3,299,799       6,091      X   X 28-5284       3537                2554
                                                             657,143       1,213      X     28-13605       763                 450
                                                              31,422          58      X   X 28-13605        23                  35
                                                              96,973         179      X     28-13663                           179
                                                             118,102         218      X   X 28-13663       218
INTUIT                         COM            461202103    1,825,315      30,341      X     28-5284      29480                 861
                                                             847,173      14,082      X   X 28-5284      13548                 534
                                                             314,998       5,236      X     28-13605      1923                3313
                                                              67,379       1,120      X   X 28-13605      1120
                                                              43,014         715      X     28-13663       680                  35
INVACARE CORP                  COM            461203101        3,480         210      X     28-5284                            210
                                                           1,323,562      79,877      X   X 28-5284      79877
INTREPID POTASH INC            COM            46121Y102       15,936         655      X     28-5284        655
                                                              19,464         800      X   X 28-5284        800
INVENSENSE INC                 COM            46123D205       36,200       2,000      X     28-5284       2000
                                                               5,430         300      X   X 28-5284        300
INVESCO MORTGAGE CAPITAL INC   COM            46131B100       81,367       4,610      X     28-5284       4610
                                                              45,431       2,574      X   X 28-5284       2574
INVESCO VAN KAMPEN SR INC TR   COM            46131H107       14,730       3,000      X   X 28-5284       3000
INVESCO VAN KAMPEN MUNI TRST   COM            46131J103       24,817       1,744      X     28-5284       1744
INVESCO VAN KAMPEN TR INVT G   COM            46131M106       22,725       1,500      X     28-5284       1500
INVESCO VAN KAMPEN TR INVT G   COM            46131R105       47,508       2,672      X     28-5284       2672
INVESCO VAN KAMPEN TR INVT G   COM            46131T101        5,389         340      X     28-5284        340
               COLUMN TOTAL                               14,388,512






                                                                                                                   FILE NO. 28-1235
 PAGE   124 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
INVESCO VAN KAMPEN ADVANTAGE   SH BEN INT     46132E103       28,801       2,224      X     28-5284       2224
INVESCO VAN KAMPEN SELECT MU   SH BEN INT     46132G108       72,546       5,650      X     28-5284       5650
INVESCO VAN KAMPEN PA VALUE    COM            46132K109      558,264      38,316      X     28-5284      38316
                                                             616,704      42,327      X   X 28-5284      41925                 402
                                                              16,785       1,152      X     28-13605      1152
INVESCO VALUE MUN INCOME TR    COM            46132P108      210,060      13,500      X     28-5284      13500
                                                             233,400      15,000      X   X 28-5284      15000
INVESCO MUNI PREM INC TRST     COM            46133E102        8,890       1,000      X     28-5284       1000
                                                              35,560       4,000      X   X 28-5284                           4000
INVESCO QUALITY MUNI INC TRS   COM            46133G107       76,450       5,500      X   X 28-5284       5500
INVESCO QUALITY MUN SECS       COM            46133J101       59,320       4,000      X   X 28-5284       4000
INVESCO HIGH YIELD INVST FD    COM            46133K108       22,896       3,600      X   X 28-5284       3600
INVESTMENT TECHNOLOGY GRP NE   COM            46145F105        4,485         375      X     28-13605       375
                                                               3,720         311      X   X 28-13605       311
INVESTORS BANCORP INC          COM            46146P102      106,041       7,060      X     28-5284       4000                3060
                                                             240,921      16,040      X   X 28-5284                          16040
                                                             148,968       9,918      X     28-13605      9918
INVESTORS REAL ESTATE TR       SH BEN INT     461730103        1,538         200      X   X 28-5284        200
ION GEOPHYSICAL CORP           COM            462044108        5,805         900      X     28-5284        900
IRELAND BK                     SPNSRD ADR NEW 46267Q202       30,465       4,500      X   X 28-5284       4500
IROBOT CORP                    COM            462726100    2,734,423     100,309      X     28-5284     100309
IRON MTN INC                   COM            462846106      149,155       5,179      X     28-5284       5000                 179
                                                              42,192       1,465      X   X 28-5284       1308                 157
                                                              71,366       2,478      X     28-13605       526                1952
ISHARES SILVER TRUST           ISHARES        46428Q109    1,666,121      53,095      X     28-5284      53095
                                                           1,231,665      39,250      X   X 28-5284      37462                1788
                                                              44,246       1,410      X     28-13605      1410
                                                              18,671         595      X   X 28-13605       595
               COLUMN TOTAL                                8,439,458






                                                                                                                   FILE NO. 28-1235
 PAGE   125 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES S&P GSCI COMMODITY I   UNIT BEN INT   46428R107      385,710      11,090      X     28-5284      11090
                                                             334,966       9,631      X   X 28-5284       6347                3284
                                                              67,473       1,940      X   X 28-13663                          1940
ISHARES GOLD TRUST             ISHARES        464285105    8,782,513     539,798      X     28-5284     539798
                                                          11,295,106     694,229      X   X 28-5284     694229
                                                             533,542      32,793      X     28-13605     32793
                                                              23,852       1,466      X   X 28-13605      1466
                                                             130,160       8,000      X     28-13663      8000
ISHARES INC                    MSCI AUSTRALIA 464286103      326,624      13,893      X     28-5284      13893
                                                             675,231      28,721      X   X 28-5284      25021                3700
                                                              56,424       2,400      X   X 28-13605      2400
ISHARES INC                    MSCI AUSTRIA I 464286202        2,890         176      X     28-5284        176
ISHARES INC                    MSCI BRAZIL    464286400      763,635      11,810      X     28-5284      11810
                                                             426,433       6,595      X   X 28-5284       6595
                                                              12,932         200      X     28-13605       200
                                                              84,187       1,302      X   X 28-13605      1302
ISHARES INC                    MSCI CDA INDEX 464286509      531,715      18,762      X     28-5284      18762
                                                           1,287,968      45,447      X   X 28-5284      45447
                                                               5,668         200      X     28-13605       200
                                                             148,077       5,225      X   X 28-13605      5225
ISHARES INC                    MSCI EMU INDEX 464286608    1,143,246      36,236      X     28-5284      36236
                                                             766,286      24,288      X   X 28-5284      23488                 800
                                                              24,609         780      X     28-13605       780
                                                              57,926       1,836      X     28-13663      1836
                                                               6,310         200      X   X 28-13663       200
ISHARES INC                    MSCI CHILE INV 464286640       48,630         712      X     28-5284        712
                                                              59,899         877      X   X 28-13605       877
ISHARES INC                    MSCI BRIC INDX 464286657      106,697       2,610      X     28-5284       2610
                                                             265,352       6,491      X   X 28-5284       6491
                                                              81,760       2,000      X     28-13605      2000
               COLUMN TOTAL                               28,435,821






                                                                                                                   FILE NO. 28-1235
 PAGE   126 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES INC                    MSCI PAC J IDX 464286665   36,694,802     843,171      X     28-5284     842271                 900
                                                           8,997,412     206,742      X   X 28-5284     206742
                                                           4,213,302      96,813      X     28-13605     96813
                                                           2,284,321      52,489      X   X 28-13605     52489
                                                             796,416      18,300      X   X 28-13663     18300
ISHARES INC                    MSCI SINGAPORE 464286673      117,956       9,151      X     28-5284       9151
                                                             183,734      14,254      X   X 28-5284      12904                1350
ISHARES INC                    MSCI FRANCE    464286707        1,104          50      X     28-5284         50
ISHARES INC                    MSCI TAIWAN    464286731      132,567       9,882      X     28-5284       9882
                                                             169,431      12,630      X   X 28-5284      12630
ISHARES INC                    MSCI SWITZERLD 464286749      247,371       9,883      X     28-5284       9883
                                                             324,939      12,982      X   X 28-5284      12882                 100
ISHARES INC                    MSCI SWEDEN    464286756       29,010       1,000      X   X 28-5284       1000
                                                              50,768       1,750      X   X 28-13605      1750
ISHARES INC                    MSCI S KOREA   464286772      125,034       2,100      X     28-5284       2100
                                                             585,457       9,833      X   X 28-5284       8978                 855
ISHARES INC                    MSCI GERMAN    464286806      228,307       9,807      X     28-5284       9807
                                                               6,286         270      X   X 28-5284        270
ISHARES INC                    MSCI NETHR INV 464286814        8,375         441      X     28-5284        441
ISHARES INC                    MSCI MALAYSIA  464286830       29,200       2,000      X     28-5284       2000
                                                             231,410      15,850      X   X 28-5284      15850
ISHARES INC                    MSCI JAPAN     464286848   31,724,551   3,117,892      X     28-5284    3117892
                                                           3,364,893     330,702      X   X 28-5284     330702
                                                              71,225       7,000      X     28-13605      7000
                                                              32,967       3,240      X   X 28-13605      3240
                                                           1,434,675     141,000      X   X 28-13663    141000
ISHARES INC                    MSCI HONG KONG 464286871       82,079       4,705      X     28-5284       4705
                                                               3,053         175      X   X 28-5284        175
               COLUMN TOTAL                               92,170,645






                                                                                                                   FILE NO. 28-1235
 PAGE   127 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     S&P 100 IDX FD 464287101   25,764,060     402,312      X     28-5284     402312
                                                           7,550,380     117,901      X   X 28-5284     117901
                                                              23,503         367      X     28-13605       367
                                                              21,710         339      X   X 28-13605       339
ISHARES TR                     LRGE CORE INDX 464287127      123,431       1,540      X     28-5284       1540
ISHARES TR                     DJ SEL DIV INX 464287168   83,637,928   1,494,602      X     28-5284    1489194                5408
                                                          36,957,383     660,425      X   X 28-5284     645000               15425
                                                           2,789,718      49,852      X     28-13605     49852
                                                           1,280,253      22,878      X   X 28-13605     22878
                                                             528,766       9,449      X     28-13663      9449
                                                             576,388      10,300      X   X 28-13663     10300
ISHARES TR                     BARCLYS TIPS B 464287176  167,021,705   1,419,649      X     28-5284    1404494               15155
                                                          49,418,647     420,048      X   X 28-5284     410196                9852
                                                           7,365,596      62,606      X     28-13605     62366                 240
                                                           3,514,911      29,876      X   X 28-13605     29545                 331
                                                             881,199       7,490      X     28-13663      7490
                                                             230,006       1,955      X   X 28-13663      1402                 553
ISHARES TR                     FTSE CHINA25 I 464287184      233,519       6,369      X     28-5284       6369
                                                             651,867      17,779      X   X 28-5284      17779
                                                              35,382         965      X     28-13605       965
                                                             104,312       2,845      X   X 28-13605      2595                 250
ISHARES TR                     TRANSP AVE IDX 464287192       42,161         450      X     28-5284        450
ISHARES TR                     S&P 500 INDEX  464287200  344,630,489   2,440,553      X     28-5284    2377962               62591
                                                          68,476,118     484,924      X   X 28-5284     429770               55154
                                                          45,283,788     320,684      X     28-13605    318531                2153
                                                          25,002,078     177,056      X   X 28-13605    176956                 100
                                                           1,036,199       7,338      X     28-13663      5636                1702
                                                           1,818,785      12,880      X   X 28-13663     12880
ISHARES TR                     BARCLY USAGG B 464287226  106,969,294     973,776      X     28-5284     969693                4083
                                                          21,760,955     198,097      X   X 28-5284     192296      1150      4651
                                                           5,355,627      48,754      X     28-13605     48754
                                                           1,342,257      12,219      X   X 28-13605     12219
                                                              54,486         496      X     28-13663       496
                                                             118,968       1,083      X   X 28-13663      1083
               COLUMN TOTAL                            1,010,601,869






                                                                                                                   FILE NO. 28-1235
 PAGE   128 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     MSCI EMERG MKT 464287234  184,995,508   4,307,731      X     28-5284    4277573               30158
                                                          74,926,442   1,744,707      X   X 28-5284    1719307               25400
                                                          17,492,658     407,327      X     28-13605    402606                4721
                                                           7,227,686     168,301      X   X 28-13605    164076                4225
                                                           1,429,424      33,285      X     28-13663     28281                5004
                                                             921,170      21,450      X   X 28-13663     19947                1503
ISHARES TR                     IBOXX INV CPBD 464287242  214,990,512   1,859,297      X     28-5284    1850062                9235
                                                          55,902,249     483,458      X   X 28-5284     458933               24525
                                                          10,391,437      89,868      X     28-13605     86021                3847
                                                           3,725,830      32,222      X   X 28-13605     32022                 200
                                                           1,201,974      10,395      X     28-13663     10395
                                                           1,940,387      16,781      X   X 28-13663     15650                1131
ISHARES TR                     S&P GBL TELCM  464287275       30,967         548      X     28-5284        548
                                                           2,672,923      47,300      X   X 28-5284      47300
                                                              19,496         345      X   X 28-13663       345
ISHARES TR                     S&P GBL INF    464287291       15,786         223      X   X 28-5284        223
ISHARES TR                     S&P500 GRW     464287309   76,785,750   1,018,784      X     28-5284    1017017                1767
                                                          11,202,921     148,639      X   X 28-5284     145127                3512
                                                             721,442       9,572      X     28-13605      9572
                                                             113,130       1,501      X   X 28-13605      1501
ISHARES TR                     S&P GBL HLTHCR 464287325      126,315       2,100      X   X 28-5284       2100
ISHARES TR                     S&P GBL ENER   464287341       70,411       1,770      X     28-5284       1770
                                                               5,171         130      X   X 28-5284        130
                                                              73,394       1,845      X     28-13605      1845
                                                              13,525         340      X   X 28-13605       340
ISHARES TR                     S&P NA NAT RES 464287374   12,048,092     305,634      X     28-5284     302700                2934
                                                           8,952,637     227,109      X   X 28-5284     227109
                                                             187,521       4,757      X     28-13605      4757
                                                              46,634       1,183      X   X 28-13605      1183
                                                              96,618       2,451      X     28-13663      2451
                                                           1,978,569      50,192      X   X 28-13663     50192
               COLUMN TOTAL                              690,306,579






                                                                                                                   FILE NO. 28-1235
 PAGE   129 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     S&P LTN AM 40  464287390    9,044,175     189,884      X     28-5284     186084                3800
                                                           3,473,418      72,925      X   X 28-5284      72725                 200
                                                           4,408,490      92,557      X     28-13605     92557
                                                           2,641,703      55,463      X   X 28-13605     55253                 210
                                                             215,812       4,531      X     28-13663      4531
                                                              13,384         281      X   X 28-13663       281
ISHARES TR                     S&P 500 VALUE  464287408   80,494,435   1,239,711      X     28-5284    1238184                1527
                                                           8,274,744     127,441      X   X 28-5284     121526                5915
                                                           1,269,836      19,557      X     28-13605     19557
                                                             593,525       9,141      X   X 28-13605      9141
                                                              42,205         650      X   X 28-13663       650
ISHARES TR                     BARCLYS 20+ YR 464287432    4,736,523      42,215      X     28-5284      41797                 418
                                                             640,662       5,710      X   X 28-5284       5428                 282
                                                              52,734         470      X     28-13663       470
ISHARES TR                     BARCLYS 7-10 Y 464287440   14,122,714     136,742      X     28-5284     114364               22378
                                                           2,525,299      24,451      X   X 28-5284      22885                1566
                                                             501,218       4,853      X     28-13605      4853
                                                              28,918         280      X   X 28-13605       280
ISHARES TR                     BARCLYS 1-3 YR 464287457   94,629,638   1,122,268      X     28-5284    1121438                 830
                                                          26,739,052     317,114      X   X 28-5284     291141               25973
                                                           2,306,321      27,352      X     28-13605     27352
                                                             529,867       6,284      X   X 28-13605      6284
                                                           3,079,366      36,520      X     28-13663     36520
                                                             438,464       5,200      X   X 28-13663      5200
ISHARES TR                     MSCI EAFE INDE 464287465  257,339,031   4,688,268      X     28-5284    4668541               19727
                                                         150,990,753   2,750,788      X   X 28-5284    2666836               83952
                                                          35,234,111     641,904      X     28-13605    637501                4403
                                                          22,346,597     407,116      X   X 28-13605    401652                5464
                                                           1,658,446      30,214      X     28-13663     18174               12040
                                                           2,596,736      47,308      X   X 28-13663     46085                1223
ISHARES TR                     RUSSELL MCP VL 464287473   31,996,631     664,796      X     28-5284     625236               39560
                                                           8,584,178     178,354      X   X 28-5284     177297                1057
                                                           1,406,310      29,219      X     28-13605     29219
                                                             916,058      19,033      X   X 28-13605     18773                 260
                                                             437,165       9,083      X     28-13663      3883                5200
                                                              35,424         736      X   X 28-13663       736
               COLUMN TOTAL                              774,343,943






                                                                                                                   FILE NO. 28-1235
 PAGE   130 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     RUSSELL MCP GR 464287481   52,737,494     838,834      X     28-5284     806739               32095
                                                          11,103,282     176,607      X   X 28-5284     175222                1385
                                                           1,745,208      27,759      X     28-13605     27059                 700
                                                             924,818      14,710      X   X 28-13605     14710
                                                             846,230      13,460      X     28-13663      9460                4000
                                                              25,085         399      X   X 28-13663       399
ISHARES TR                     RUSSELL MIDCAP 464287499  216,106,728   1,951,831      X     28-5284    1941189               10642
                                                          52,895,705     477,743      X   X 28-5284     443307               34436
                                                           7,780,073      70,268      X     28-13605     70268
                                                           3,291,041      29,724      X   X 28-13605     29724
                                                           2,065,482      18,655      X     28-13663     18655
                                                           1,335,062      12,058      X   X 28-13663     12058
ISHARES TR                     S&P MIDCAP 400 464287507   47,555,451     479,293      X     28-5284     467890               11403
                                                          35,025,255     353,006      X   X 28-5284     337849               15157
                                                          24,113,734     243,033      X     28-13605    242825                 208
                                                           6,366,253      64,163      X   X 28-13605     63733                 430
                                                             331,891       3,345      X     28-13663      3345
                                                           2,954,176      29,774      X   X 28-13663     29774
ISHARES TR                     S&P NA SOFTWR  464287515      135,363       2,055      X     28-5284       2055
                                                             131,740       2,000      X   X 28-5284       2000
                                                               4,940          75      X     28-13605        75
ISHARES TR                     PHLX SOX SEMIC 464287523       84,419       1,420      X     28-5284       1420
                                                              56,478         950      X   X 28-5284        950
ISHARES TR                     S&P NA TECH FD 464287549       40,373         570      X     28-5284        570
                                                             212,490       3,000      X   X 28-5284       3000
ISHARES TR                     NASDQ BIO INDX 464287556    8,348,643      67,710      X     28-5284      67610                 100
                                                           3,962,122      32,134      X   X 28-5284      28271                3863
                                                              28,852         234      X     28-13605       234
                                                              86,310         700      X   X 28-13605       700
                                                              12,330         100      X   X 28-13663       100
ISHARES TR                     COHEN&ST RLTY  464287564   20,695,406     270,034      X     28-5284     267617                2417
                                                           5,635,109      73,527      X   X 28-5284      72037                1490
                                                           2,782,492      36,306      X     28-13605     36306
                                                           1,731,528      22,593      X   X 28-13605     21957                 636
                                                              74,417         971      X     28-13663       971
                                                              33,108         432      X   X 28-13663                           432
               COLUMN TOTAL                              511,259,088






                                                                                                                   FILE NO. 28-1235
 PAGE   131 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     CONS SRVC IDX  464287580       23,568         291      X     28-5284        291
                                                              85,040       1,050      X   X 28-5284       1050
ISHARES TR                     RUSSELL1000VAL 464287598   70,578,288   1,007,254      X     28-5284    1004241                3013
                                                          51,221,660     731,007      X   X 28-5284     727963                3044
                                                           2,530,438      36,113      X     28-13605     36113
                                                           1,179,068      16,827      X   X 28-13605     16827
                                                              96,136       1,372      X     28-13663      1372
                                                             192,132       2,742      X   X 28-13663      1942                 800
ISHARES TR                     S&P MC 400 GRW 464287606   16,109,166     143,269      X     28-5284     139522                3747
                                                           5,254,771      46,734      X   X 28-5284      41142                5592
                                                             641,133       5,702      X     28-13605      5702
                                                             437,167       3,888      X   X 28-13605      3888
                                                             546,458       4,860      X     28-13663      4860
ISHARES TR                     RUSSELL1000GRW 464287614   99,742,804   1,509,425      X     28-5284    1494348               15077
                                                          34,176,840     517,204      X   X 28-5284     511690                5514
                                                           5,779,621      87,464      X     28-13605     84511                2953
                                                           1,719,071      26,015      X   X 28-13605     25728                 287
                                                             302,779       4,582      X     28-13663      4582
                                                             186,346       2,820      X   X 28-13663      2820
ISHARES TR                     RUSSELL 1000   464287622  134,681,279   1,727,569      X     28-5284    1719492                8077
                                                          39,368,007     504,977      X   X 28-5284     483665               21312
                                                           1,736,091      22,269      X     28-13605     22269
                                                             497,151       6,377      X   X 28-13605      6377
                                                           1,313,314      16,846      X     28-13663     16846
                                                           1,884,527      24,173      X   X 28-13663     24173
ISHARES TR                     RUSL 2000 VALU 464287630   31,881,906     436,918      X     28-5284     432080                4838
                                                          12,334,995     169,042      X   X 28-5284     166064                2978
                                                             313,917       4,302      X     28-13605      4302
                                                             264,808       3,629      X   X 28-13605      3388                 241
                                                             143,240       1,963      X     28-13663       413                1550
                                                              91,213       1,250      X   X 28-13663      1250
ISHARES TR                     RUSL 2000 GROW 464287648   27,450,269     287,799      X     28-5284     282269                5530
                                                           9,956,337     104,386      X   X 28-5284     103317                1069
                                                             293,484       3,077      X     28-13605      3077
                                                             125,425       1,315      X   X 28-13605      1315
                                                             300,447       3,150      X     28-13663      1950                1200
                                                               3,624          38      X   X 28-13663        38
               COLUMN TOTAL                              553,442,520






                                                                                                                   FILE NO. 28-1235
 PAGE   132 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     RUSSELL 2000   464287655  148,575,715   1,794,176      X     28-5284    1776651               17525
                                                          69,873,339     843,779      X   X 28-5284     798154       200     45425
                                                           9,207,727     111,191      X     28-13605    110950                 241
                                                           5,476,888      66,138      X   X 28-13605     66138
                                                           1,915,727      23,134      X     28-13663     22759                 375
                                                           1,075,039      12,982      X   X 28-13663     12982
ISHARES TR                     RUSL 3000 VALU 464287663    2,644,470      28,810      X     28-5284      28810
                                                             445,916       4,858      X   X 28-5284       4858
                                                              60,581         660      X   X 28-13605       660
ISHARES TR                     RUSL 3000 GROW 464287671      809,924      15,032      X     28-5284      15032
                                                              93,643       1,738      X   X 28-5284       1738
                                                              67,296       1,249      X   X 28-13605      1249
ISHARES TR                     RUSSELL 3000   464287689    8,471,575     101,724      X     28-5284     101561                 163
                                                           1,741,801      20,915      X   X 28-5284      19865                1050
                                                           1,263,191      15,168      X     28-13605     15168
                                                             185,298       2,225      X   X 28-13605      2225
ISHARES TR                     DJ US UTILS    464287697    4,412,684      51,215      X     28-5284      18347               32868
                                                           5,873,527      68,170      X   X 28-5284      68170
ISHARES TR                     S&P MIDCP VALU 464287705   11,884,033     139,141      X     28-5284     135529                3612
                                                           3,109,778      36,410      X   X 28-5284      33800                2610
                                                             173,468       2,031      X     28-13605      2031
                                                             156,215       1,829      X   X 28-13605      1829
ISHARES TR                     DJ US TELECOMM 464287713    2,524,984     113,738      X     28-5284     112863                 875
                                                             541,169      24,377      X   X 28-5284      24377
                                                              11,877         535      X     28-13605       535
                                                              11,100         500      X     28-13663       500
ISHARES TR                     DJ US TECH SEC 464287721    6,505,928      83,613      X     28-5284      83613
                                                           5,334,187      68,554      X   X 28-5284      68554
                                                             619,601       7,963      X     28-13605      7963
ISHARES TR                     DJ US REAL EST 464287739   17,636,009     283,082      X     28-5284     283082
                                                           5,193,328      83,360      X   X 28-5284      83080                 280
                                                             839,804      13,480      X     28-13605     13480
                                                             699,691      11,231      X   X 28-13605     11231
                                                             198,363       3,184      X     28-13663      3184
                                                             115,567       1,855      X   X 28-13663      1855
               COLUMN TOTAL                              317,749,443






                                                                                                                   FILE NO. 28-1235
 PAGE   133 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     DJ US INDUSTRL 464287754       20,843         292      X     28-5284        292
                                                             120,704       1,691      X   X 28-5284       1691
ISHARES TR                     DJ US HEALTHCR 464287762    2,154,097      27,546      X     28-5284      27546
                                                             714,983       9,143      X   X 28-5284       9143
                                                              40,273         515      X     28-13663       515
ISHARES TR                     DJ US FINL SVC 464287770      375,535       6,563      X     28-5284       6563
                                                              74,386       1,300      X   X 28-5284       1300
                                                             210,398       3,677      X     28-13605      3677
ISHARES TR                     DJ US FINL SEC 464287788      537,565       9,186      X     28-5284       9186
                                                             296,579       5,068      X   X 28-5284       5068
                                                              12,991         222      X     28-13605       222
                                                              41,842         715      X   X 28-13605       715
                                                              21,126         361      X     28-13663       361
                                                             183,343       3,133      X   X 28-13663      3133
ISHARES TR                     DJ US ENERGY   464287796      941,341      22,672      X     28-5284      22672
                                                             232,097       5,590      X   X 28-5284       5590
                                                             103,800       2,500      X     28-13605      2500
                                                             249,120       6,000      X     28-13663      6000
ISHARES TR                     S&P SMLCAP 600 464287804   36,360,570     476,485      X     28-5284     463858               12627
                                                          21,836,107     286,150      X   X 28-5284     283728                2422
                                                           6,583,950      86,279      X     28-13605     86279
                                                             595,371       7,802      X   X 28-13605      7802
                                                             424,513       5,563      X     28-13663      5563
                                                           1,560,540      20,450      X   X 28-13663     20450
ISHARES TR                     CONS GOODS IDX 464287812      140,457       1,895      X   X 28-5284       1895
ISHARES TR                     DJ US BAS MATL 464287838      316,620       4,500      X     28-5284       4500
ISHARES TR                     DJ US INDEX FD 464287846    1,635,843      23,128      X     28-5284      21611                1517
                                                           1,464,677      20,708      X   X 28-5284      20708
                                                             438,243       6,196      X     28-13605      6196
                                                              12,307         174      X   X 28-13605       174
               COLUMN TOTAL                               77,700,221






                                                                                                                   FILE NO. 28-1235
 PAGE   134 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     S&P EURO PLUS  464287861    1,750,595      46,870      X     28-5284      45270                1600
                                                             429,712      11,505      X   X 28-5284      11505
                                                              72,534       1,942      X     28-13605      1942
                                                             110,705       2,964      X   X 28-13605      2964
                                                             261,450       7,000      X     28-13663      7000
                                                             224,100       6,000      X   X 28-13663      6000
ISHARES TR                     S&P SMLCP VALU 464287879   21,236,842     270,292      X     28-5284     268592                1700
                                                           3,395,953      43,222      X   X 28-5284      40586                2636
                                                             247,967       3,156      X     28-13605      3156
                                                              53,113         676      X   X 28-13605       676
                                                               9,428         120      X     28-13663       120
                                                               8,250         105      X   X 28-13663       105
ISHARES TR                     S&P SMLCP GROW 464287887    9,796,413     118,615      X     28-5284     118219                 396
                                                           3,845,225      46,558      X   X 28-5284      44627                1931
                                                             271,308       3,285      X     28-13605      3285
                                                              66,898         810      X   X 28-13605       810
ISHARES TR                     S&P SH NTL AMT 464288158      106,600       1,000      X   X 28-5284       1000
ISHARES TR                     AGENCY BD FD   464288166    6,254,674      55,528      X     28-5284      55528
                                                             461,824       4,100      X   X 28-5284       4100
                                                               2,478          22      X     28-13605        22
                                                             168,960       1,500      X   X 28-13663      1500
ISHARES TR                     MSCI ACJPN IDX 464288182      637,490      11,295      X     28-5284      11295
                                                             859,299      15,225      X   X 28-5284      15225
ISHARES TR                     S&P EMRG INFRS 464288216       94,582       2,848      X   X 28-5284                           2848
ISHARES TR                     S&P GLBIDX ETF 464288224       28,210       3,100      X     28-5284       3100
                                                             100,100      11,000      X   X 28-5284                          11000
ISHARES TR                     S&P NUCIDX ETF 464288232        1,759          50      X     28-13605        50
ISHARES TR                     MSCI ACWI EX   464288240       19,598         480      X     28-5284        480
                                                             255,514       6,258      X   X 28-5284       6258
                                                              69,411       1,700      X   X 28-13663      1700
ISHARES TR                     MSCI SMALL CAP 464288273      145,592       3,628      X     28-5284       3628
                                                             287,010       7,152      X   X 28-5284       7152
               COLUMN TOTAL                               51,273,594






                                                                                                                   FILE NO. 28-1235
 PAGE   135 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     JPMORGAN USD   464288281   21,174,151     187,864      X     28-5284     182300                5564
                                                           4,830,525      42,858      X   X 28-5284      42517                 341
                                                           1,089,568       9,667      X     28-13605      9667
                                                             420,521       3,731      X   X 28-13605      3731
                                                             187,888       1,667      X     28-13663      1667
                                                             338,130       3,000      X   X 28-13663      3000
ISHARES TR                     S&P GLO INFRAS 464288372    2,952,096      83,369      X     28-5284      83369
                                                             363,023      10,252      X   X 28-5284      10252
                                                             127,582       3,603      X     28-13605      3603
                                                             118,624       3,350      X   X 28-13605      3350
                                                              70,820       2,000      X   X 28-13663      2000
ISHARES TR                     S&P NTL AMTFRE 464288414  147,545,701   1,348,681      X     28-5284    1333463               15218
                                                          40,631,816     371,406      X   X 28-5284     350532               20874
                                                           8,918,726      81,524      X     28-13605     81524
                                                           6,224,641      56,898      X   X 28-13605     56798                 100
                                                           1,672,726      15,290      X     28-13663     15290
                                                             801,793       7,329      X   X 28-13663      7329
ISHARES TR                     DJ INTL SEL DI 464288448       97,800       3,000      X   X 28-5284       3000
ISHARES TR                     SMLL CORE INDX 464288505      134,163       1,416      X     28-5284       1416
ISHARES TR                     HIGH YLD CORP  464288513      152,317       1,679      X     28-5284       1679
                                                             433,093       4,774      X   X 28-5284       4774
                                                             371,494       4,095      X     28-13605      4095
                                                             133,629       1,473      X   X 28-13605      1473
ISHARES TR                     RESIDENT PLS C 464288562      192,602       4,150      X   X 28-5284       4150
ISHARES TR                     MSCI KLD400 SO 464288570      358,110       6,900      X   X 28-5284       6900
ISHARES TR                     BARCLYS MBS BD 464288588   22,108,268     204,801      X     28-5284     204801
                                                           1,195,546      11,075      X   X 28-5284       9804                1271
                                                             677,170       6,273      X     28-13605      6273
                                                             282,505       2,617      X   X 28-13605      2617
                                                              49,333         457      X     28-13663       457
                                                             237,490       2,200      X   X 28-13663      2200
               COLUMN TOTAL                              263,891,851






                                                                                                                   FILE NO. 28-1235
 PAGE   136 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     BARCLYS INTER  464288612   14,398,337     129,570      X     28-5284     129487                  83
                                                           3,031,018      27,276      X   X 28-5284      18376                8900
                                                             101,678         915      X     28-13605       915
                                                              52,006         468      X   X 28-13605       468
ISHARES TR                     BARCLYS CR BD  464288620       33,684         307      X   X 28-5284        307
ISHARES TR                     BARCLYS INTER  464288638   77,680,476     713,647      X     28-5284     688588               25059
                                                          18,216,809     167,357      X   X 28-5284     154538               12819
                                                             938,178       8,619      X     28-13605      8619
                                                             176,990       1,626      X   X 28-13605      1626
                                                           4,328,529      39,766      X     28-13663     38844                 922
                                                             376,730       3,461      X   X 28-13663      2250                1211
ISHARES TR                     BARCLYS 1-3YR  464288646  159,860,701   1,521,179      X     28-5284    1506523               14656
                                                          43,546,248     414,371      X   X 28-5284     383584       100     30687
                                                           7,062,468      67,204      X     28-13605     67109                  95
                                                           2,457,004      23,380      X   X 28-13605     23380
                                                          13,036,835     124,054      X     28-13663    124054
                                                             533,647       5,078      X   X 28-13663      5078
ISHARES TR                     BARCLYS 10-20Y 464288653      102,208         800      X     28-13605       800
ISHARES TR                     BARCLYS 3-7 YR 464288661    6,849,658      56,562      X     28-5284      56152                 410
                                                           2,518,517      20,797      X   X 28-5284      12197                8600
                                                             445,285       3,677      X     28-13605      3677
                                                             279,499       2,308      X   X 28-13605      2308
                                                              51,831         428      X     28-13663       428
ISHARES TR                     BARCLYS SH TRE 464288679      249,580       2,265      X   X 28-5284                           2265
ISHARES TR                     US PFD STK IDX 464288687    7,362,749     188,595      X     28-5284     123655               64940
                                                           6,653,704     170,433      X   X 28-5284     170433
                                                             823,939      21,105      X     28-13605     21105
                                                             629,208      16,117      X   X 28-13605     16117
ISHARES TR                     S&P GLB MTRLS  464288695       19,899         315      X     28-5284        315
                                                              67,529       1,069      X   X 28-5284       1069
                                                              27,353         433      X   X 28-13605       433
ISHARES TR                     DJ REGIONAL BK 464288778        2,480         100      X     28-5284        100
               COLUMN TOTAL                              371,914,777






                                                                                                                   FILE NO. 28-1235
 PAGE   137 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ISHARES TR                     MSCI ESG SEL S 464288802    7,977,993     129,536      X     28-5284     129536
                                                           1,211,887      19,677      X   X 28-5284      19335                 342
                                                              21,433         348      X     28-13605                           348
ISHARES TR                     DJ PHARMA INDX 464288836       41,530         500      X   X 28-5284                            500
ISHARES TR                     DJ OIL&GAS EXP 464288851      253,949       3,860      X     28-5284       3860
                                                               4,934          75      X   X 28-5284         75
ISHARES TR                     MSCI VAL IDX   464288877    8,229,747     175,101      X     28-5284     171272                3829
                                                          11,466,731     243,973      X   X 28-5284     243086                 887
                                                           1,669,299      35,517      X     28-13605     35177                 340
                                                           1,260,587      26,821      X   X 28-13605     25407                1414
                                                             197,400       4,200      X   X 28-13663      4200
ISHARES TR                     MSCI GRW IDX   464288885   14,668,034     250,137      X     28-5284     246728                3409
                                                          12,168,035     207,504      X   X 28-5284     200747                6757
                                                             543,476       9,268      X     28-13605      9268
                                                             141,029       2,405      X   X 28-13605      1239                1166
                                                              36,591         624      X     28-13663       624
                                                             222,832       3,800      X   X 28-13663      3800
ISHARES TR                     ZEALAND INVST  464289123        8,168         258      X     28-5284        258
ISHARES TR                     MSCI BRAZ SMCP 464289131       76,637       2,798      X     28-5284       2798
ISHARES TR                     S&P INDIA 50   464289529       23,730       1,000      X   X 28-5284       1000
ISHARES TR                     MSCI PERU CAP  464289842        4,670         100      X   X 28-5284        100
ISHARES TR                     HGH DIV EQT FD 46429B663      111,271       1,947      X     28-5284       1947
                                                             200,025       3,500      X   X 28-5284       2500                1000
ISIS PHARMACEUTICALS INC       COM            464330109       45,429       5,180      X     28-5284       5180
                                                              32,449       3,700      X   X 28-5284       2000                1700
ITAU UNIBANCO HLDG SA          SPON ADR REP P 465562106       64,133       3,342      X     28-5284       3022                 320
                                                              50,719       2,643      X   X 28-5284       1878                 765
ITC HLDGS CORP                 COM            465685105      128,721       1,673      X     28-5284       1673
                                                              61,552         800      X   X 28-5284        800
               COLUMN TOTAL                               60,922,991






                                                                                                                   FILE NO. 28-1235
 PAGE   138 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ITRON INC                      COM            465741106       37,055         816      X     28-5284        816
                                                              53,221       1,172      X   X 28-5284       1172
                                                               6,812         150      X     28-13605       150
IVANHOE MINES LTD              COM            46579N103        2,298         146      X     28-5284        146
                                                               1,023          65      X   X 28-13605        65
J & J SNACK FOODS CORP         COM            466032109       26,230         500      X     28-5284        400                 100
                                                             131,517       2,507      X   X 28-5284                           2507
JDS UNIPHASE CORP              COM PAR $0.001 46612J507        6,361         439      X     28-5284        252                 187
                                                              21,996       1,518      X   X 28-5284       1328                 190
                                                              45,962       3,172      X     28-13605       671                2501
                                                              28,980       2,000      X   X 28-13605      2000
JDA SOFTWARE GROUP INC         COM            46612K108          385          14      X     28-5284         14
JPMORGAN CHASE & CO            COM            46625H100  147,642,654   3,211,019      X     28-5284    3154004               57015
                                                          89,845,656   1,954,016      X   X 28-5284    1853648              100368
                                                          80,274,781   1,745,863      X     28-13605   1550168              195695
                                                          19,681,279     428,040      X   X 28-13605    411997       331     15712
                                                           1,217,964      26,489      X     28-13663     25386                1103
                                                             701,747      15,262      X   X 28-13663     15262
JPMORGAN CHASE & CO            ALERIAN ML ETN 46625H365   15,960,392     407,777      X     28-5284     406852                 925
                                                           1,949,681      49,813      X   X 28-5284      49813
                                                             195,700       5,000      X     28-13605      5000
                                                             147,871       3,778      X   X 28-13605      3778
                                                              97,224       2,484      X     28-13663      2484
                                                           1,686,934      43,100      X   X 28-13663     43100
JABIL CIRCUIT INC              COM            466313103       21,252         846      X     28-5284        100                 746
                                                              47,401       1,887      X   X 28-5284       1725                 162
                                                             773,068      30,775      X     28-13605     28679                2096
                                                              61,670       2,455      X   X 28-13605      2455
JACK IN THE BOX INC            COM            466367109        7,431         310      X     28-5284                            310
               COLUMN TOTAL                              360,674,545






                                                                                                                   FILE NO. 28-1235
 PAGE   139 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
JACOBS ENGR GROUP INC DEL      COM            469814107    1,627,092      36,671      X     28-5284      36491                 180
                                                           2,365,675      53,317      X   X 28-5284      37641               15676
                                                             149,837       3,377      X     28-13605      1986                1391
                                                               5,236         118      X   X 28-13605       118
                                                               1,021          23      X     28-13663                            23
                                                              30,926         697      X   X 28-13663       697
JAGUAR MNG INC                 COM            47009M103        3,736         800      X   X 28-5284        800
JAKKS PAC INC                  COM            47012E106        2,967         170      X     28-5284                            170
JAMES RIVER COAL CO            COM NEW        470355207          108          21      X     28-5284         21
                                                               4,096         800      X   X 28-13605       800
JANUS CAP GROUP INC            COM            47102X105       23,237       2,608      X     28-5284                           2608
                                                               8,981       1,008      X   X 28-5284        417                 591
                                                               3,119         350      X   X 28-13605                           350
JARDEN CORP                    COM            471109108        8,448         210      X   X 28-5284        210
JEFFERIES GROUP INC NEW        DBCV  3.875%11 472319AG7      570,000       6,000      X   X 28-5284       6000
JEFFERIES GROUP INC NEW        COM            472319102       22,307       1,184      X     28-5284       1184
                                                               8,911         473      X   X 28-5284        473
JETBLUE AIRWAYS CORP           COM            477143101        9,252       1,892      X     28-5284       1892
                                                               2,156         441      X   X 28-5284        441
JIVE SOFTWARE INC              COM            47760A108        8,148         300      X   X 28-13663                           300
JOHN BEAN TECHNOLOGIES CORP    COM            477839104          551          34      X   X 28-5284         34
JOHNSON & JOHNSON              COM            478160104  268,973,535   4,077,828      X     28-5284    4029083               48745
                                                         221,907,513   3,364,274      X   X 28-5284    3161370              202904
                                                          80,873,292   1,226,096      X     28-13605   1125186              100910
                                                          29,907,913     453,425      X   X 28-13605    415757       210     37458
                                                           1,959,276      29,704      X     28-13663     26854                2850
                                                           6,809,908     103,243      X   X 28-13663    102844                 399
JOHNSON CTLS INC               NOTE  6.500% 9 478366AS6      580,500       2,000      X     28-5284       2000
               COLUMN TOTAL                              615,867,741






                                                                                                                   FILE NO. 28-1235
 PAGE   140 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
JOHNSON CTLS INC               COM            478366107   28,516,173     877,961      X     28-5284     869583                8378
                                                          18,241,775     561,631      X   X 28-5284     527745               33886
                                                           3,502,156     107,825      X     28-13605    100196                7629
                                                           2,010,999      61,915      X   X 28-13605     61565                 350
                                                             139,729       4,302      X     28-13663      4193                 109
                                                             164,998       5,080      X   X 28-13663      5080
JONES LANG LASALLE INC         COM            48020Q107       31,075         373      X     28-5284        373
                                                              21,411         257      X   X 28-5284        257
JONES GROUP INC                COM            48020T101        8,478         675      X   X 28-13605       675
JOS A BANK CLOTHIERS INC       COM            480838101      151,230       3,000      X     28-5284       3000
                                                             136,107       2,700      X   X 28-5284       2700
JOY GLOBAL INC                 COM            481165108   17,423,763     237,058      X     28-5284     232213                4845
                                                           4,639,247      63,119      X   X 28-5284      54665                8454
                                                          19,375,997     263,619      X     28-13605    258023                5596
                                                           3,760,775      51,167      X   X 28-13605     49034        74      2059
                                                             103,415       1,407      X     28-13663       560                 847
                                                              36,750         500      X   X 28-13663       500
J2 GLOBAL INC                  COM            48123V102       11,472         400      X     28-13605       400
JUNIPER NETWORKS INC           COM            48203R104      260,672      11,393      X     28-5284      10702                 691
                                                             103,212       4,511      X   X 28-5284       3396                1115
                                                             209,032       9,136      X     28-13605      3081                6055
                                                              26,060       1,139      X   X 28-13605      1139
                                                               4,027         176      X     28-13663                           176
KAR AUCTION SVCS INC           COM            48238T109        2,464         152      X   X 28-5284        152
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105       43,453       1,184      X     28-5284       1184
                                                                 147           4      X   X 28-5284          4
KBR INC                        COM            48242W106    3,173,122      89,258      X     28-5284      86798                2460
                                                           1,555,917      43,767      X   X 28-5284      42767                1000
                                                           8,713,056     245,093      X     28-13605    197323               47770
                                                           1,202,514      33,826      X   X 28-13605     33688       138
                                                              17,775         500      X     28-13663       500
KKR FINANCIAL HLDGS LLC        COM            48248A306       10,113       1,098      X     28-5284       1098
                                                              24,720       2,684      X   X 28-5284       2684
               COLUMN TOTAL                              113,621,834






                                                                                                                   FILE NO. 28-1235
 PAGE   141 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KKR & CO L P DEL               COM UNITS      48248M102      207,620      14,000      X     28-5284      14000
KLA-TENCOR CORP                COM            482480100      122,989       2,260      X     28-5284       1444                 816
                                                             703,923      12,935      X   X 28-5284       4509                8426
                                                             127,887       2,350      X     28-13605       498                1852
                                                               7,347         135      X     28-13663                           135
KMG CHEMICALS INC              COM            482564101       35,198       1,950      X     28-5284       1950
K-SWISS INC                    CL A           482686102          984         240      X     28-5284                            240
K12 INC                        COM            48273U102       16,565         701      X     28-5284        701
                                                             130,721       5,532      X   X 28-5284                           5532
                                                               9,452         400      X     28-13605                           400
                                                             159,503       6,750      X   X 28-13605      6750
KVH INDS INC                   COM            482738101       31,763       3,025      X   X 28-5284                           3025
KADANT INC                     COM            48282T104           24           1      X     28-5284          1
                                                             398,509      16,730      X     28-13605     16730
KAISER ALUMINUM CORP           COM PAR $0.01  483007704       86,958       1,840      X     28-5284                           1840
                                                             354,450       7,500      X   X 28-5284                           7500
KAMAN CORP                     COM            483548103        6,111         180      X     28-5284                            180
                                                             218,978       6,450      X     28-13605      6450
KANSAS CITY SOUTHERN           COM NEW        485170302      347,983       4,854      X     28-5284       4854
                                                           5,620,854      78,405      X   X 28-5284      71605                6800
                                                             229,193       3,197      X     28-13605      3197
                                                               7,169         100      X   X 28-13605                           100
KAPSTONE PAPER & PACKAGING C   COM            48562P103      113,472       5,760      X   X 28-5284                           5760
                                                             224,225      11,382      X     28-13605     11382
KAYDON CORP                    COM            486587108       72,193       2,830      X     28-5284       2830
                                                              12,755         500      X   X 28-5284                            500
KAYNE ANDERSON ENRGY TTL RT    COM            48660P104       84,199       3,064      X     28-5284       3064
                                                               5,496         200      X   X 28-5284        200
               COLUMN TOTAL                                9,336,521






                                                                                                                   FILE NO. 28-1235
 PAGE   142 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KAYNE ANDERSON MLP INVSMNT C   COM            486606106      104,353       3,350      X     28-5284       3350
                                                              77,875       2,500      X   X 28-5284       2500
                                                               2,492          80      X     28-13605        80
KEEGAN RES INC                 COM            487275109       18,800       5,000      X     28-5284       5000
KELLOGG CO                     COM            487836108    2,645,943      49,337      X     28-5284      44953                4384
                                                           1,948,217      36,327      X   X 28-5284      34592                1735
                                                             326,714       6,092      X     28-13605      3237                2855
                                                             236,455       4,409      X   X 28-13605      4309                 100
                                                             124,797       2,327      X     28-13663      2250                  77
                                                             134,075       2,500      X   X 28-13663      2500
KELLY SVCS INC                 CL A           488152208          911          57      X     28-13605        57
KEMET CORP                     COM NEW        488360207      201,334      21,510      X     28-13605     21510
KEMPER CORP DEL                COM            488401100       19,349         639      X     28-5284        639
                                                               5,148         170      X   X 28-5284        170
KENNAMETAL INC                 COM            489170100      212,631       4,775      X     28-5284       4775
                                                             522,248      11,728      X   X 28-5284       6423                5305
KEY ENERGY SVCS INC            COM            492914106       12,360         800      X     28-5284        800
                                                             467,084      30,232      X     28-13605     30232
KEYCORP NEW                    COM            493267108      389,428      45,815      X     28-5284      35478               10337
                                                             387,881      45,633      X   X 28-5284      16571               29062
                                                             113,186      13,316      X     28-13605      3067               10249
                                                               1,998         235      X   X 28-13605       235
                                                               4,905         577      X     28-13663                           577
                                                              16,057       1,889      X   X 28-13663      1889
KEYCORP NEW                    PFD 7.75% SR A 493267405       32,008         285      X     28-5284        285
                                                              16,847         150      X   X 28-5284                            150
KILROY RLTY CORP               COM            49427F108       20,508         440      X     28-5284                            440
               COLUMN TOTAL                                8,043,604






                                                                                                                   FILE NO. 28-1235
 PAGE   143 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KIMBERLY CLARK CORP            COM            494368103   50,163,552     678,895      X     28-5284     669841                9054
                                                          45,403,853     614,479      X   X 28-5284     601321               13158
                                                           5,040,111      68,211      X     28-13605     63652                4559
                                                           2,382,066      32,238      X   X 28-13605     32238
                                                             394,499       5,339      X     28-13663      5101                 238
                                                             542,944       7,348      X   X 28-13663      6987                 361
KIMCO RLTY CORP                COM            49446R109      100,306       5,208      X     28-5284        598                4610
                                                              95,915       4,980      X   X 28-5284       4677                 303
                                                             127,347       6,612      X     28-13605      2187                4425
                                                             115,560       6,000      X   X 28-13605                          6000
KINDER MORGAN MANAGEMENT LLC   SHS            49455U100      418,077       5,602      X     28-5284       5602
                                                           1,635,218      21,911      X   X 28-5284      21911
                                                               8,433         113      X     28-13605       113
                                                              15,896         213      X     28-13663       213
KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106   18,688,839     225,847      X     28-5284     225147                 700
                                                          17,097,971     206,622      X   X 28-5284     201972                4650
                                                           1,531,703      18,510      X     28-13605     18510
                                                             791,918       9,570      X   X 28-13605      9570
                                                              41,375         500      X     28-13663       500
                                                             342,585       4,140      X   X 28-13663      4140
KINDER MORGAN INC DEL          COM            49456B101      506,122      13,095      X     28-5284      13095
                                                             208,981       5,407      X   X 28-5284       5407
KINDRED HEALTHCARE INC         COM            494580103       29,091       3,367      X     28-5284       3367
                                                              41,472       4,800      X   X 28-5284       4800
KINROSS GOLD CORP              COM NO PAR     496902404      138,284      14,125      X     28-5284       2900               11225
                                                             177,972      18,179      X   X 28-5284       2000               16179
                                                               7,186         734      X     28-13605       734
KIRBY CORP                     COM            497266106       28,224         429      X     28-5284        429
                                                              42,632         648      X   X 28-5284        648
KNIGHT CAP GROUP INC           NOTE  3.500% 3 499005AE6   19,125,000     200,000      X     28-5284     200000
KNIGHT TRANSN INC              COM            499064103      326,887      18,510      X   X 28-5284      14700                3810
KODIAK OIL & GAS CORP          COM            50015Q100       19,920       2,000      X     28-5284       2000
               COLUMN TOTAL                              165,589,939






                                                                                                                   FILE NO. 28-1235
 PAGE   144 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KOHLBERG CAPITAL CORP          COM            500233101        4,492         650      X     28-5284        650
KOHLS CORP                     COM            500255104    2,038,973      40,755      X     28-5284      39990                 765
                                                           1,482,889      29,640      X   X 28-5284      24639                5001
                                                             526,216      10,518      X     28-13605      7604                2914
                                                             166,600       3,330      X   X 28-13605      3330
                                                               2,301          46      X     28-13663                            46
KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303       50,855       2,499      X     28-5284       2499
                                                              49,288       2,422      X   X 28-5284       2422
                                                              10,175         500      X     28-13605       500
                                                              16,280         800      X   X 28-13605       800
KOPPERS HOLDINGS INC           COM            50060P106      806,907      20,926      X     28-5284      20926
                                                             182,119       4,723      X   X 28-5284       4723
KOPIN CORP                     COM            500600101        1,669         410      X     28-5284                            410
KOREA ELECTRIC PWR             SPONSORED ADR  500631106       45,945       4,722      X     28-5284                           4722
                                                              67,594       6,947      X   X 28-5284       4000                2947
KOREA FD                       COM NEW        500634209      194,640       4,800      X   X 28-5284       4800
KORN FERRY INTL                COM NEW        500643200        1,843         110      X     28-13605       110
KRAFT FOODS INC                CL A           50075N104   76,733,600   2,018,774      X     28-5284    1975315               43459
                                                          54,031,595   1,421,510      X   X 28-5284    1335711               85799
                                                          31,775,714     835,983      X     28-13605    707594              128389
                                                           7,769,472     204,406      X   X 28-13605    197455       196      6755
                                                             366,835       9,651      X     28-13663      3235                6416
                                                             394,126      10,369      X   X 28-13663     10369
KRATON PERFORMANCE POLYMERS    COM            50077C106       11,133         419      X     28-5284        419
                                                             183,200       6,895      X   X 28-5284         95                6800
KRISPY KREME DOUGHNUTS INC     COM            501014104          730         100      X   X 28-5284        100
                                                               3,650         500      X   X 28-13605       500
KROGER CO                      COM            501044101    1,246,319      51,437      X     28-5284      48757                2680
                                                             673,424      27,793      X   X 28-5284      26753                1040
                                                             205,422       8,478      X     28-13605      1880                6598
                                                               2,471         102      X     28-13663                           102
                                                               6,518         269      X   X 28-13663       269
               COLUMN TOTAL                              179,052,995






                                                                                                                   FILE NO. 28-1235
 PAGE   145 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
KRONOS WORLDWIDE INC           COM            50105F105        4,489         180      X   X 28-5284        180
KUBOTA CORP                    ADR            501173207       49,852       1,030      X   X 28-5284         15                1015
KULICKE & SOFFA INDS INC       COM            501242101       12,181         980      X     28-5284        500                 480
                                                              22,610       1,819      X     28-13605      1819
KYOCERA CORP                   ADR            501556203       30,927         335      X     28-5284        335
                                                              60,931         660      X   X 28-5284        160                 500
LDK SOLAR CO LTD               SPONSORED ADR  50183L107          472         118      X     28-5284        118
LKQ CORP                       COM            501889208      323,700      10,385      X   X 28-5284       1135                9250
                                                              37,404       1,200      X     28-13605                          1200
                                                             294,089       9,435      X   X 28-13605      9435
LMI AEROSPACE INC              COM            502079106       70,871       3,894      X     28-13605      3894
LMP REAL ESTATE INCOME FD IN   COM            50208C108      258,000      25,000      X   X 28-5284      25000
LPL INVT HLDGS INC             COM            50213H100       39,420       1,039      X   X 28-5284        239                 800
LRR ENERGY LP                  COM            50214A104       10,270         500      X     28-5284        500
                                                              20,540       1,000      X   X 28-5284       1000
LSI INDS INC                   COM            50216C108       98,720      13,468      X   X 28-5284      10000                3468
LSI CORPORATION                COM            502161102       25,424       2,929      X     28-5284       1537                1392
                                                              48,903       5,634      X   X 28-5284       4791                 843
                                                             188,061      21,666      X     28-13605     15465                6201
                                                              22,611       2,605      X   X 28-13605      2584                  21
LTC PPTYS INC                  COM            502175102      624,800      19,525      X     28-13605     19525
LTX-CREDENCE CORP              COM NEW        502403207       48,892       6,800      X   X 28-5284                           6800
L-3 COMMUNICATIONS CORP        DEBT  3.000% 8 502413AW7      194,750       2,000      X     28-13605      2000
L-3 COMMUNICATIONS HLDGS INC   COM            502424104      553,846       7,826      X     28-5284       7474                 352
                                                             450,876       6,371      X   X 28-5284       6275                  96
                                                             137,577       1,944      X     28-13605       838                1106
                                                               6,015          85      X   X 28-13605        85
                                                               1,557          22      X     28-13663                            22
               COLUMN TOTAL                                3,637,788






                                                                                                                   FILE NO. 28-1235
 PAGE   146 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LA Z BOY INC                   COM            505336107        5,386         360      X     28-5284                            360
                                                              16,456       1,100      X   X 28-5284                           1100
LABORATORY CORP AMER HLDGS     COM NEW        50540R409      772,231       8,436      X     28-5284       8172                 264
                                                           1,235,332      13,495      X   X 28-5284      10844                2651
                                                             558,211       6,098      X     28-13605      5009                1089
                                                             363,414       3,970      X   X 28-13605      3970
                                                               4,211          46      X     28-13663                            46
                                                              82,386         900      X   X 28-13663       900
LACLEDE GROUP INC              COM            505597104       44,873       1,150      X     28-5284       1000                 150
                                                             119,011       3,050      X   X 28-5284       2000                1050
LADENBURG THALMAN FIN SVCS I   COM            50575Q102        1,780       1,000      X     28-5284       1000
LAKE SHORE GOLD CORP           COM            510728108       42,890      41,240      X   X 28-13605     41240
LAKELAND BANCORP INC           COM            511637100      182,166      18,494      X     28-5284      18494
                                                              18,764       1,905      X   X 28-5284                           1905
LAKELAND FINL CORP             COM            511656100      153,577       5,900      X     28-13605      5900
LAM RESEARCH CORP              COM            512807108    1,027,420      23,026      X     28-5284       6849               16177
                                                             535,752      12,007      X   X 28-5284       1721               10286
                                                             195,346       4,378      X     28-13605      4378
                                                              98,610       2,210      X   X 28-13605      2210
                                                              27,397         614      X     28-13663                           614
LAMAR ADVERTISING CO           CL A           512815101      176,408       5,443      X   X 28-5284       5443
LANDAUER INC                   COM            51476K103        7,953         150      X     28-5284        150
                                                              30,487         575      X   X 28-5284        575
                                                               1,591          30      X     28-13605        30
LANDSTAR SYS INC               COM            515098101       20,260         351      X     28-5284        351
                                                              23,954         415      X   X 28-5284        415
LAS VEGAS SANDS CORP           COM            517834107    1,193,944      20,739      X     28-5284       6790               13949
                                                           1,494,920      25,967      X   X 28-5284       6073               19894
                                                             103,223       1,793      X     28-13605      1793
                                                              22,567         392      X   X 28-13605                           392
                                                              70,523       1,225      X     28-13663                          1225
               COLUMN TOTAL                                8,631,043






                                                                                                                   FILE NO. 28-1235
 PAGE   147 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LASALLE HOTEL PPTYS            COM SH BEN INT 517942108      702,712      24,972      X     28-5284       2784               22188
                                                             196,530       6,984      X   X 28-5284        171                6813
                                                             581,513      20,665      X     28-13605     20665
                                                              20,486         728      X     28-13663                           728
LATIN AMERN DISCOVERY FD INC   COM            51828C106       91,504       5,600      X   X 28-5284       5600
LAUDER ESTEE COS INC           CL A           518439104   23,864,801     385,289      X     28-5284     377263                8026
                                                           5,738,122      92,640      X   X 28-5284      91725                 915
                                                          35,746,441     577,114      X     28-13605    564378               12736
                                                           7,272,004     117,404      X   X 28-13605    112170       148      5086
                                                             225,028       3,633      X     28-13663      3549                  84
                                                             236,363       3,816      X   X 28-13663      3816
LAWSON PRODS INC               COM            520776105          453          30      X     28-5284                             30
                                                              13,221         875      X   X 28-5284                            875
LAYNE CHRISTENSEN CO           COM            521050104        4,027         181      X     28-5284        181
                                                             222,500      10,000      X     28-13663     10000
LEAPFROG ENTERPRISES INC       CL A           52186N106       41,800       5,000      X   X 28-5284                           5000
                                                              98,263      11,754      X     28-13605     11754
LEAR CORP                      COM NEW        521865204       76,244       1,640      X     28-5284       1065                 575
                                                              33,101         712      X   X 28-5284        712
LEE ENTERPRISES INC            COM            523768109        3,328       2,600      X   X 28-5284                           2600
LEGGETT & PLATT INC            COM            524660107    7,763,137     337,381      X     28-5284     326679               10702
                                                           4,762,265     206,965      X   X 28-5284     192455               14510
                                                           2,679,054     116,430      X     28-13605    114744                1686
                                                             688,321      29,914      X   X 28-13605     29914
                                                              68,846       2,992      X     28-13663      2272                 720
                                                             174,278       7,574      X   X 28-13663      7574
LEGACY RESERVES LP             UNIT LP INT    524707304      112,788       3,900      X   X 28-5284       3900
LEGG MASON INC                 COM            524901105      114,094       4,085      X     28-5284       3510                 575
                                                              76,863       2,752      X   X 28-5284       2465                 287
                                                             420,235      15,046      X     28-13605     13695                1351
                                                             116,887       4,185      X   X 28-13605      4185
               COLUMN TOTAL                               92,145,209






                                                                                                                   FILE NO. 28-1235
 PAGE   148 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LENDER PROCESSING SVCS INC     COM            52602E102       15,600         600      X     28-5284        600
                                                           1,103,622      42,447      X   X 28-5284      42447
LENNAR CORP                    CL A           526057104       17,776         654      X     28-5284         70                 584
                                                              13,046         480      X   X 28-5284        480
                                                              62,650       2,305      X     28-13605       476                1829
LENNOX INTL INC                COM            526107107       17,934         445      X   X 28-5284        445
                                                              76,892       1,908      X     28-13605      1908
LEUCADIA NATL CORP             COM            527288104      304,378      11,662      X     28-5284       8040                3622
                                                             981,882      37,620      X   X 28-5284      24254               13366
                                                              87,435       3,350      X     28-13605      1115                2235
                                                           1,681,623      64,430      X   X 28-13605     64430
LEVEL 3 COMMUNICATIONS INC     COM NEW        52729N308       35,507       1,380      X     28-5284       1075                 305
                                                              32,111       1,248      X   X 28-5284       1248
                                                              34,298       1,333      X   X 28-13605      1333
LEXMARK INTL NEW               CL A           529771107       18,348         552      X     28-5284                            552
                                                              59,433       1,788      X   X 28-5284       1700                  88
                                                              34,636       1,042      X     28-13605       221                 821
                                                               1,396          42      X     28-13663                            42
LIBERTY ALL STAR EQUITY FD     SH BEN INT     530158104          242          49      X     28-5284         49
LIBERTY MEDIA CORPORATION      LIB CAP COM A  530322106       51,920         589      X     28-5284        589
                                                              77,572         880      X   X 28-5284        880
                                                           3,235,722      36,707      X   X 28-13605     36707
LIBERTY GLOBAL INC             COM SER A      530555101      698,916      13,956      X     28-5284        687               13269
                                                             797,424      15,923      X   X 28-5284       9056                6867
                                                              22,536         450      X     28-13605       450
                                                             202,323       4,040      X   X 28-13605      4040
LIBERTY GLOBAL INC             COM SER C      530555309    1,872,691      39,104      X     28-5284        285               38819
                                                           2,785,474      58,164      X   X 28-5284      10785               47379
                                                              21,551         450      X     28-13605       450
                                                           1,627,829      33,991      X   X 28-13605     33991
                                                             250,225       5,225      X     28-13663                          5225
               COLUMN TOTAL                               16,222,992






                                                                                                                   FILE NO. 28-1235
 PAGE   149 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LIBERTY INTERACTIVE CORPORAT   INT COM SER A  53071M104      102,322       5,360      X     28-5284       5360
                                                              76,131       3,988      X   X 28-5284       3488                 500
                                                               2,195         115      X   X 28-13605       115
LIBERTY MEDIA CORP NEW         DEB   3.125% 3 530718AF2      241,500       2,000      X     28-13605      2000
LIBERTY PPTY TR                SH BEN INT     531172104       85,192       2,385      X     28-5284       2385
                                                              29,255         819      X   X 28-5284        819
LIFE PARTNERS HOLDINGS INC     COM            53215T106       20,350       5,000      X     28-5284       5000
LIFE TIME FITNESS INC          COM            53217R207       52,138       1,031      X     28-5284        879                 152
                                                               4,248          84      X     28-13605        84
LIFE TECHNOLOGIES CORP         COM            53217V109    2,252,408      46,137      X     28-5284      28069               18068
                                                           1,855,795      38,013      X   X 28-5284      19721               18292
                                                             125,663       2,574      X     28-13605       545                2029
                                                              26,753         548      X   X 28-13605       548
                                                             140,602       2,880      X     28-13663                          2880
LIFEPOINT HOSPITALS INC        COM            53219L109      122,856       3,115      X     28-5284       3115
                                                               8,835         224      X   X 28-5284        224
LILLY ELI & CO                 COM            532457108   24,128,801     599,250      X     28-5284     578829               20421
                                                          13,587,585     337,454      X   X 28-5284     304835               32619
                                                           4,524,699     112,373      X     28-13605    100091               12282
                                                           1,968,193      48,881      X   X 28-13605     48406                 475
                                                             138,351       3,436      X     28-13663      3132                 304
                                                             619,034      15,374      X   X 28-13663     15374
LIMITED BRANDS INC             COM            532716107   36,148,368     753,091      X     28-5284     742258               10833
                                                           8,670,960     180,645      X   X 28-5284     173006                7639
                                                          39,619,296     825,402      X     28-13605    758566               66836
                                                           7,938,096     165,377      X   X 28-13605    159707       223      5447
                                                             321,792       6,704      X     28-13663      6668                  36
                                                              48,000       1,000      X   X 28-13663      1000
LINCARE HLDGS INC              COM            532791100      205,254       7,931      X   X 28-5284       2141                5790
LINCOLN ELEC HLDGS INC         COM            533900106      362,981       8,004      X     28-5284       8004
                                                           4,875,579     107,510      X   X 28-5284     107510
               COLUMN TOTAL                              148,303,232






                                                                                                                   FILE NO. 28-1235
 PAGE   150 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LINCOLN NATL CORP IND          COM            534187109      425,187      16,130      X     28-5284      14758                1372
                                                           1,467,619      55,676      X   X 28-5284      54942                 734
                                                           2,745,341     104,148      X     28-13605    101139                3009
                                                             206,293       7,826      X   X 28-13605      7826
LINDSAY CORP                   COM            535555106        5,964          90      X     28-5284                             90
                                                              82,838       1,250      X   X 28-5284       1000                 250
LINEAR TECHNOLOGY CORP         COM            535678106    6,338,060     188,073      X     28-5284     183575                4498
                                                           2,201,082      65,314      X   X 28-5284      62582                2732
                                                             341,145      10,123      X     28-13605      7549                2574
                                                               8,425         250      X   X 28-13605       250
                                                             101,808       3,021      X     28-13663      2956                  65
                                                             200,010       5,935      X   X 28-13663      5935
LINKEDIN CORP                  COM CL A       53578A108    1,555,348      15,250      X     28-5284       4918               10332
                                                           4,193,013      41,112      X   X 28-5284      37987                3125
                                                               5,609          55      X     28-13605        55
                                                              10,709         105      X   X 28-13605       105
                                                              42,122         413      X     28-13663                           413
LIONS GATE ENTMNT CORP         COM NEW        535919203       24,012       1,725      X     28-5284       1725
                                                               2,784         200      X   X 28-5284        200
                                                              81,014       5,820      X     28-13605      5820
LINN ENERGY LLC                UNIT LTD LIAB  536020100   19,738,390     517,389      X     28-5284     511375                6014
                                                          15,514,079     406,660      X   X 28-5284     387712               18948
                                                           5,500,391     144,178      X     28-13605    143445                 733
                                                           3,697,994      96,933      X   X 28-13605     96133                 800
                                                             256,292       6,718      X     28-13663      6718
LIQUIDITY SERVICES INC         COM            53635B107      101,696       2,270      X   X 28-5284                           2270
                                                           2,386,765      53,276      X     28-13605     42899               10377
                                                              13,395         299      X   X 28-13605       299
LITHIA MTRS INC                CL A           536797103       94,608       3,611      X     28-13605      3611
LITTELFUSE INC                 COM            537008104        1,568          25      X     28-5284         25
                                                               6,270         100      X   X 28-5284        100
                                                             482,978       7,703      X     28-13605      1443                6260
LIVE NATION ENTERTAINMENT IN   COM            538034109          113          12      X     28-5284         12
                                                                 160          17      X   X 28-5284         17
               COLUMN TOTAL                               67,833,082






                                                                                                                   FILE NO. 28-1235
 PAGE   151 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LIZ CLAIBORNE INC              COM            539320101        5,745         430      X     28-5284        430
                                                              38,944       2,915      X   X 28-5284       2915
LLOYDS BANKING GROUP PLC       SPONSORED ADR  539439109       22,298      10,518      X   X 28-5284      10518
LOCKHEED MARTIN CORP           COM            539830109   10,301,101     114,635      X     28-5284     108575                6060
                                                           4,390,290      48,857      X   X 28-5284      43123                5734
                                                           1,269,093      14,123      X     28-13605     11003                3120
                                                           1,996,240      22,215      X   X 28-13605     20715                1500
                                                              13,120         146      X     28-13663                           146
LOEWS CORP                     COM            540424108      756,892      18,984      X     28-5284       4029               14955
                                                           2,583,058      64,787      X   X 28-5284      18770               46017
                                                             177,422       4,450      X     28-13605      1026                3424
                                                               3,349          84      X   X 28-13605        84
                                                             183,203       4,595      X     28-13663                          4595
LONE PINE RES INC              COM            54222A106        4,960         763      X     28-5284        763
                                                               2,919         449      X   X 28-5284        449
LORILLARD INC                  COM            544147101      734,281       5,671      X     28-5284       5395                 276
                                                             305,832       2,362      X   X 28-5284       2217                 145
                                                             386,109       2,982      X     28-13605      1451                1531
                                                               1,554          12      X   X 28-13605        12
                                                               6,603          51      X     28-13663                            51
                                                              60,079         464      X   X 28-13663       464
LOUISIANA PAC CORP             COM            546347105       13,558       1,450      X     28-5284       1450
                                                              15,147       1,620      X   X 28-5284       1620
                                                               2,917         312      X   X 28-13605       312
LOWES COS INC                  COM            548661107   24,553,846     782,468      X     28-5284     774149                8319
                                                           8,299,477     264,483      X   X 28-5284     252645               11838
                                                           4,593,624     146,387      X     28-13605    129110               17277
                                                             178,207       5,679      X   X 28-13605      5679
                                                             169,358       5,397      X     28-13663      5100                 297
                                                              79,705       2,540      X   X 28-13663      2540
LUFKIN INDS INC                COM            549764108      179,930       2,231      X     28-5284       2231
                                                              20,808         258      X   X 28-5284        258
               COLUMN TOTAL                               61,349,669






                                                                                                                   FILE NO. 28-1235
 PAGE   152 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
LULULEMON ATHLETICA INC        COM            550021109      366,924       4,910      X     28-5284       4910
                                                              52,236         699      X   X 28-5284        699
                                                               4,783          64      X     28-13605        64
                                                              10,163         136      X   X 28-13605       136
LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202      263,852       7,315      X   X 28-5284       3000                4315
LYDALL INC DEL                 COM            550819106        1,325         130      X     28-5284                            130
M & T BK CORP                  COM            55261F104    8,049,693      92,653      X     28-5284      90849                1804
                                                           5,007,589      57,638      X   X 28-5284      55516                2122
                                                           3,146,099      36,212      X     28-13605     34781                1431
                                                             930,311      10,708      X   X 28-13605     10708
                                                              83,057         956      X     28-13663       885                  71
                                                             101,302       1,166      X   X 28-13663      1166
MBIA INC                       COM            55262C100        7,291         744      X     28-5284                            744
                                                               8,477         865      X   X 28-5284        865
MB FINANCIAL INC NEW           COM            55264U108          315          15      X   X 28-13605                            15
M D C HLDGS INC                COM            552676108      407,301      15,793      X     28-5284        738               15055
                                                              56,480       2,190      X   X 28-5284                           2190
                                                              14,185         550      X     28-13663                           550
MDU RES GROUP INC              COM            552690109      156,775       7,002      X     28-5284       7002
                                                           5,550,033     247,880      X   X 28-5284     235280               12600
                                                              32,466       1,450      X   X 28-13605      1450
MEMC ELECTR MATLS INC          COM            552715104       50,190      13,903      X     28-5284      10087                3816
                                                               5,177       1,434      X   X 28-5284        200                1234
MFA FINANCIAL INC              COM            55272X102       20,909       2,799      X   X 28-5284       2799
MFS INTER INCOME TR            SH BEN INT     55273C107       27,434       4,300      X     28-5284       4300
                                                               5,793         908      X   X 28-5284        900                   8
MFS MUN INCOME TR              SH BEN INT     552738106       48,843       6,700      X     28-5284       6700
MGE ENERGY INC                 COM            55277P104       77,683       1,750      X   X 28-5284       1150                 600
                                                              73,244       1,650      X   X 28-13605      1650
               COLUMN TOTAL                               24,559,930






                                                                                                                   FILE NO. 28-1235
 PAGE   153 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MELA SCIENCES INC              COM            55277R100        4,480       1,000      X     28-5284       1000
                                                               2,240         500      X     28-13605       500
MGIC INVT CORP WIS             COM            552848103          744         150      X   X 28-13605       150
MGM RESORTS INTERNATIONAL      COM            552953101       66,207       4,861      X     28-5284       4861
                                                              14,628       1,074      X   X 28-5284       1074
                                                              23,835       1,750      X     28-13605      1750
                                                               5,448         400      X   X 28-13605       400
MI DEVS INC                    COM            55304X104      262,538       7,590      X     28-13605      7590
MKS INSTRUMENT INC             COM            55306N104       20,671         700      X   X 28-5284                            700
MPG OFFICE TR INC              COM            553274101        2,340       1,000      X   X 28-5284       1000
MSC INDL DIRECT INC            CL A           553530106       41,640         500      X     28-5284        500
                                                              28,232         339      X   X 28-5284        339
                                                             239,180       2,872      X     28-13605      2872
MSCI INC                       CL A           55354G100       12,847         349      X   X 28-5284        349
MTS SYS CORP                   COM            553777103      143,343       2,700      X     28-5284       2700
                                                           1,109,050      20,890      X   X 28-5284      20890
MVC CAPITAL INC                COM            553829102       26,509       2,019      X   X 28-5284       2019
MV OIL TR                      TR UNITS       553859109        4,137         100      X   X 28-5284        100
MWI VETERINARY SUPPLY INC      COM            55402X105       75,504         858      X     28-5284        858
                                                               2,024          23      X   X 28-5284         23
                                                           2,326,368      26,436      X     28-13605     21426                5010
                                                              13,024         148      X   X 28-13605       148
MYR GROUP INC DEL              COM            55405W104       57,152       3,200      X     28-5284                           3200
MACERICH CO                    COM            554382101       37,076         642      X     28-5284        422                 220
                                                              46,951         813      X   X 28-5284        813
MACK CALI RLTY CORP            COM            554489104       20,491         711      X     28-5284        711
                                                             239,379       8,306      X   X 28-5284       5006                3300
MACKINAC FINL CORP             COM            554571109      175,000      25,000      X   X 28-5284                          25000
               COLUMN TOTAL                                5,001,038






                                                                                                                   FILE NO. 28-1235
 PAGE   154 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MACQUARIE INFRASTR CO LLC      MEMBERSHIP INT 55608B105       82,475       2,500      X     28-5284       2500
                                                             164,950       5,000      X   X 28-5284       5000
                                                             279,953       8,486      X     28-13605      8486
MACQUARIE GLBL INFRA TOTL RE   COM            55608D101           18           1      X   X 28-5284          1
MACYS INC                      COM            55616P104   31,165,166     784,424      X     28-5284     764359               20065
                                                           6,510,039     163,857      X   X 28-5284     155522                8335
                                                          43,555,800   1,096,295      X     28-13605   1072982               23313
                                                           9,027,490     227,221      X   X 28-13605    217734       299      9188
                                                             161,224       4,058      X     28-13663      3914                 144
                                                              21,852         550      X   X 28-13663       550
MADDEN STEVEN LTD              COM            556269108       24,325         569      X     28-5284        569
                                                              47,923       1,121      X   X 28-5284        121                1000
                                                              84,859       1,985      X     28-13605      1985
MADISON SQUARE GARDEN CO       CL A           55826P100      109,303       3,196      X     28-5284       3196
                                                              27,770         812      X   X 28-5284        412                 400
                                                           1,986,131      58,074      X     28-13605     48167                9907
                                                              12,175         356      X   X 28-13605       356
MAG SILVER CORP                COM            55903Q104      757,500      75,000      X     28-13605     75000
                                                           2,297,750     227,500      X   X 28-13605    150000               77500
MAGELLAN HEALTH SVCS INC       COM NEW        559079207       87,663       1,796      X     28-13605      1796
MAGELLAN MIDSTREAM PRTNRS LP   COM UNIT RP LP 559080106    4,069,559      56,256      X     28-5284      56256
                                                           3,243,581      44,838      X   X 28-5284      39016                5822
                                                             713,996       9,870      X     28-13605      9870
MAGNA INTL INC                 COM            559222401        9,548         200      X     28-5284        200
                                                               7,256         152      X   X 28-5284        152
MAGNUM HUNTER RES CORP DEL     COM            55973B102       12,826       2,001      X     28-5284       2001
MAKITA CORP                    ADR NEW        560877300      208,346       5,175      X   X 28-5284                           5175
MAKO SURGICAL CORP             COM            560879108       18,968         450      X     28-5284        450
                                                              37,935         900      X   X 28-5284        900
MALAYSIA FD INC                COM            560905101       53,916       5,255      X   X 28-5284       5255
               COLUMN TOTAL                              104,780,297






                                                                                                                   FILE NO. 28-1235
 PAGE   155 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MANHATTAN ASSOCS INC           COM            562750109       78,852       1,659      X     28-5284       1519                 140
MANITOWOC INC                  COM            563571108       68,593       4,949      X     28-5284       4949
                                                             256,022      18,472      X   X 28-5284        200               18272
MANNKIND CORP                  COM            56400P201        3,335       1,350      X     28-5284       1350
MANPOWERGROUP INC              COM            56418H100      138,084       2,915      X     28-5284       2915
MANULIFE FINL CORP             COM            56501R106    1,089,379      80,397      X     28-5284      80397
                                                             708,543      52,291      X   X 28-5284      52291
                                                               4,119         304      X     28-13605       304
                                                              14,282       1,054      X   X 28-13605      1054
MARATHON OIL CORP              COM            565849106   11,714,513     369,543      X     28-5284     357802               11741
                                                           4,907,287     154,804      X   X 28-5284     141404               13400
                                                             439,901      13,877      X     28-13605      5772                8105
                                                             176,252       5,560      X   X 28-13605      5560
                                                             101,947       3,216      X     28-13663      2912                 304
                                                              38,199       1,205      X   X 28-13663      1205
MARATHON PETE CORP             COM            56585A102    6,994,792     161,319      X     28-5284     157913                3406
                                                           2,284,942      52,697      X   X 28-5284      46192                6505
                                                             239,174       5,516      X     28-13605      1500                4016
                                                             125,701       2,899      X   X 28-13605      2899
                                                              66,471       1,533      X     28-13663      1422                 111
                                                              30,048         693      X   X 28-13663       693
MARINE PETE TR                 UNIT BEN INT   568423107       12,493         500      X     28-5284        500
MARKEL CORP                    COM            570535104      847,150       1,887      X   X 28-5284         66                1821
                                                              53,873         120      X     28-13605        70                  50
                                                             196,187         437      X   X 28-13605       395                  42
MARKETAXESS HLDGS INC          COM            57060D108        5,743         154      X     28-13605       154
MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100      643,079      12,981      X     28-5284      12981
                                                           3,148,217      63,549      X   X 28-5284      60168                3381
                                                              87,190       1,760      X     28-13605      1760
                                                             198,160       4,000      X   X 28-13663      4000
MARKET VECTORS ETF TR          BIOTECH ETF    57060U183       66,750       1,500      X     28-5284       1500
               COLUMN TOTAL                               34,739,278






                                                                                                                   FILE NO. 28-1235
 PAGE   156 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARKET VECTORS ETF TR          OIL SVCS ETF   57060U191      114,305       2,814      X     28-5284       2814
MARKET VECTORS ETF TR          PHARMACEUTICAL 57060U217       79,689       2,072      X     28-13605      2072
MARKET VECTORS ETF TR          GBL ALTER ENRG 57060U407       22,851       1,930      X   X 28-13605      1930
MARKET VECTORS ETF TR          RUSSIA ETF     57060U506        3,705         120      X   X 28-5284        120
MARKET VECTORS ETF TR          JR GOLD MINERS 57060U589       17,676         720      X     28-5284        720
                                                             219,723       8,950      X   X 28-5284       8950
MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605      327,546       6,200      X     28-5284       6200
                                                             700,790      13,265      X   X 28-5284      13265
                                                              62,868       1,190      X     28-13605      1190
                                                             100,377       1,900      X   X 28-13605      1900
MARKET VECTORS ETF TR          BRAZL SMCP ETF 57060U613       47,664       1,085      X     28-5284       1085
                                                              50,212       1,143      X   X 28-5284       1143
MARKET VECTORS ETF TR          URAN NUCLR ENR 57060U704       65,800       4,000      X     28-5284       4000
                                                               3,290         200      X   X 28-5284        200
MARKET VECTORS ETF TR          INDONESIA ETF  57060U753       74,053       2,480      X     28-5284       2480
                                                              20,842         698      X   X 28-5284        698
MARKET VECTORS ETF TR          VIETNAM ETF    57060U761        9,053         473      X     28-5284        473
                                                                 957          50      X   X 28-5284         50
MARKET VECTORS ETF TR          RVE HARD ETF   57060U795       27,631         757      X   X 28-5284        757
MARKET VECTORS ETF TR          SOLAR ENRG ETF 57060U811          225          60      X     28-13605        60
MARKET VECTORS ETF TR          GAMING ETF     57060U829      143,320       4,000      X     28-5284       4000
MARKET VECTORS ETF TR          COAL ETF       57060U837       51,805       1,625      X     28-5284       1625
                                                              31,880       1,000      X   X 28-5284       1000
MARKWEST ENERGY PARTNERS L P   UNIT LTD PARTN 570759100      666,505      11,403      X     28-5284      11403
                                                             245,490       4,200      X   X 28-5284       4200
                                                              84,869       1,452      X     28-13605      1452
                                                              18,996         325      X   X 28-13605       325
               COLUMN TOTAL                                3,192,122






                                                                                                                   FILE NO. 28-1235
 PAGE   157 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MARRIOTT VACATIONS WRLDWDE C   COM            57164Y107      203,105       7,124      X     28-5284       7058                  66
                                                             126,157       4,425      X   X 28-5284       4408                  17
                                                               2,281          80      X     28-13605        80
                                                              13,001         456      X   X 28-13605       456
                                                              11,860         416      X     28-13663       404                  12
                                                               4,562         160      X   X 28-13663       160
MARSH & MCLENNAN COS INC       COM            571748102    4,657,459     142,039      X     28-5284     139674                2365
                                                           2,928,245      89,303      X   X 28-5284      88820                 483
                                                             323,375       9,862      X     28-13605      3823                6039
                                                              30,331         925      X   X 28-13605       925
                                                               4,132         126      X     28-13663                           126
                                                              91,812       2,800      X   X 28-13663      2800
MARRIOTT INTL INC NEW          CL A           571903202    4,423,037     116,857      X     28-5284     110555                6302
                                                           2,647,721      69,953      X   X 28-5284      66403                3550
                                                             343,035       9,063      X     28-13605      6065                2998
                                                             150,492       3,976      X   X 28-13605      3976
                                                             157,797       4,169      X     28-13663      4042                 127
                                                              60,560       1,600      X   X 28-13663      1600
MARTIN MARIETTA MATLS INC      COM            573284106       25,689         300      X     28-5284        300
                                                             487,577       5,694      X   X 28-5284       5694
MARTIN MIDSTREAM PRTNRS L P    UNIT L P INT   573331105       33,780       1,000      X   X 28-5284       1000
MASCO CORP                     COM            574599106      369,774      27,657      X     28-5284      22858                4799
                                                             440,689      32,961      X   X 28-5284      32766                 195
                                                              97,628       7,302      X     28-13605      3572                3730
                                                              27,743       2,075      X   X 28-13605      2075
MASIMO CORP                    COM            574795100        4,676         200      X     28-5284        200
                                                             196,158       8,390      X   X 28-5284                           8390
MASTERCARD INC                 CL A           57636Q104   16,714,362      39,745      X     28-5284      36725                3020
                                                          16,284,150      38,722      X   X 28-5284      37191                1531
                                                           3,727,667       8,864      X     28-13605      7561                1303
                                                             199,336         474      X   X 28-13605       474
                                                             196,813         468      X     28-13663       451                  17
                                                             103,453         246      X   X 28-13663       246
MATADOR RES CO                 COM            576485205       85,191       7,780      X   X 28-5284                           7780
               COLUMN TOTAL                               55,173,648






                                                                                                                   FILE NO. 28-1235
 PAGE   158 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MATERION CORP                  COM            576690101          632          22      X     28-13605        22
                                                              57,460       2,000      X   X 28-13605      2000
MATTEL INC                     COM            577081102   35,211,793   1,046,102      X     28-5284    1028847               17255
                                                           7,855,773     233,386      X   X 28-5284     216861               16525
                                                          30,243,544     898,501      X     28-13605    878263               20238
                                                           6,559,122     194,864      X   X 28-13605    184714       196      9954
                                                             166,045       4,933      X     28-13663      4407                 526
                                                             314,856       9,354      X   X 28-13663      9354
MATTHEWS INTL CORP             CL A           577128101       57,743       1,825      X     28-5284       1825
                                                              96,534       3,051      X   X 28-5284       3051
MAXIM INTEGRATED PRODS INC     COM            57772K101      476,938      16,682      X     28-5284       5822               10860
                                                             364,980      12,766      X   X 28-5284       3062                9704
                                                              69,188       2,420      X     28-13605      2420
                                                              13,580         475      X   X 28-13605       475
MAXWELL TECHNOLOGIES INC       COM            577767106      207,221      11,305      X     28-13605     11305
MAXIMUS INC                    COM            577933104        9,354         230      X     28-5284                            230
                                                               4,474         110      X   X 28-5284                            110
MCCORMICK & CO INC             COM VTG        579780107      306,400       5,650      X   X 28-13605      5650
MCCORMICK & CO INC             COM NON VTG    579780206   10,573,082     194,251      X     28-5284     193428                 823
                                                           7,025,117     129,067      X   X 28-5284     125159                3908
                                                           1,732,725      31,834      X     28-13605     30234                1600
                                                           3,223,236      59,218      X   X 28-13605     59218
                                                              15,894         292      X     28-13663       199                  93
                                                              81,210       1,492      X   X 28-13663      1492
MCDERMOTT INTL INC             COM            580037109       21,841       1,705      X     28-5284       1705
                                                              20,752       1,620      X   X 28-5284       1620
                                                              11,042         862      X     28-13605       862
MCDONALDS CORP                 COM            580135101  187,908,490   1,915,479      X     28-5284    1881641               33838
                                                         127,989,010   1,304,679      X   X 28-5284    1242289               62390
                                                          44,345,124     452,040      X     28-13605    433791               18249
                                                          13,473,839     137,348      X   X 28-13605    130793        92      6463
                                                           1,060,657      10,812      X     28-13663      9760                1052
                                                           2,145,741      21,873      X   X 28-13663     21477                 396
               COLUMN TOTAL                              481,643,397






                                                                                                                   FILE NO. 28-1235
 PAGE   159 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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        8,520       2,000      X     28-5284       2000
                                                               8,520       2,000      X   X 28-5284       2000
MCGRAW HILL COS INC            COM            580645109   15,338,089     316,445      X     28-5284     315028                1417
                                                          15,328,734     316,252      X   X 28-5284     310527                5725
                                                             293,777       6,061      X     28-13605      2368                3693
                                                              53,317       1,100      X   X 28-13605      1100
                                                             190,439       3,929      X     28-13663      3896                  33
                                                              50,700       1,046      X   X 28-13663      1046
MCKESSON CORP                  COM            58155Q103    5,452,272      62,120      X     28-5284      61310                 810
                                                           2,687,342      30,618      X   X 28-5284      29924                 694
                                                             678,374       7,729      X     28-13605      4778                2951
                                                             241,806       2,755      X   X 28-13605      2455                 300
                                                             103,130       1,175      X     28-13663      1150                  25
                                                             245,756       2,800      X   X 28-13663      2800
MCMORAN EXPLORATION CO         COM            582411104      140,438      13,125      X     28-5284      13125
                                                              16,050       1,500      X   X 28-5284       1500
MEAD JOHNSON NUTRITION CO      COM            582839106      484,323       5,872      X     28-5284       5808                  64
                                                             454,712       5,513      X   X 28-5284       4594                 919
                                                             372,232       4,513      X     28-13605      2162                2351
                                                               8,660         105      X   X 28-13605       105
                                                               5,526          67      X     28-13663                            67
MEADWESTVACO CORP              COM            583334107      355,640      11,258      X     28-5284       9663                1595
                                                             220,435       6,978      X   X 28-5284       6978
                                                           1,068,342      33,819      X     28-13605     31929                1890
                                                             105,226       3,331      X   X 28-13605      3331
                                                               1,264          40      X     28-13663                            40
MEDALLION FINL CORP            COM            583928106       10,044         900      X     28-5284        900
                                                             166,931      14,958      X     28-13605     14958
MEDASSETS INC                  COM            584045108       13,121         997      X     28-5284        997
                                                               2,764         210      X   X 28-5284        210
               COLUMN TOTAL                               44,106,484






                                                                                                                   FILE NO. 28-1235
 PAGE   160 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MEDCO HEALTH SOLUTIONS INC     COM            58405U102   30,483,838     433,625      X     28-5284     431871                1754
                                                          30,661,486     436,152      X   X 28-5284     422601               13551
                                                           3,502,979      49,829      X     28-13605     45044                4785
                                                           3,566,178      50,728      X   X 28-13605     48595                2133
                                                             391,923       5,575      X     28-13663      5541                  34
                                                              22,848         325      X   X 28-13663       325
MEDICAL PPTYS TRUST INC        COM            58463J304       22,179       2,390      X     28-5284       2390
                                                              37,120       4,000      X   X 28-5284       4000
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309       77,060       2,050      X   X 28-5284       2050
                                                             256,439       6,822      X     28-13605      6822
MEDIFAST INC                   COM            58470H101        8,730         500      X   X 28-5284        500
MEDIDATA SOLUTIONS INC         COM            58471A105       24,962         937      X     28-5284        937
                                                               5,887         221      X   X 28-5284        221
MEDNAX INC                     COM            58502B106      517,764       6,962      X     28-5284        492                6470
                                                             428,446       5,761      X   X 28-5284        256                5505
                                                               1,785          24      X     28-13605        24
                                                               1,413          19      X   X 28-13605        19
                                                              19,411         261      X     28-13663                           261
MEDTRONIC INC                  NOTE  1.625% 4 585055AM8      303,000       3,000      X     28-5284       3000
                                                             202,000       2,000      X   X 28-5284       2000
                                                             101,000       1,000      X     28-13605      1000
MEDTRONIC INC                  COM            585055106   15,297,464     390,341      X     28-5284     375814               14527
                                                          12,690,702     323,825      X   X 28-5284     294428               29397
                                                             794,852      20,282      X     28-13605      8638               11644
                                                             179,529       4,581      X   X 28-13605      3581                1000
                                                              20,967         535      X     28-13663       150                 385
MELCO CROWN ENTMT LTD          ADR            585464100        4,092         300      X     28-5284        300
                                                              34,100       2,500      X   X 28-5284       2500
                                                             117,781       8,635      X     28-13605      8635
MEMORIAL PRODTN PARTNERS LP    COM U REP LTD  586048100       27,960       1,500      X     28-5284       1500
MENS WEARHOUSE INC             COM            587118100       96,150       2,480      X     28-5284                           2480
                                                             307,834       7,940      X   X 28-5284                           7940
               COLUMN TOTAL                              100,207,879






                                                                                                                   FILE NO. 28-1235
 PAGE   161 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MENTOR GRAPHICS CORP           COM            587200106        1,798         121      X   X 28-5284        121
MERCADOLIBRE INC               COM            58733R102       89,282         913      X     28-5284        874                  39
                                                              49,971         511      X   X 28-5284        419                  92
MERCER INTL INC                COM            588056101      103,870      13,000      X   X 28-5284      13000
MERCHANTS BANCSHARES           COM            588448100       28,180       1,000      X   X 28-5284                           1000
MERCK & CO INC NEW             COM            58933Y105  115,464,691   3,006,893      X     28-5284    2970802               36091
                                                         157,983,514   4,114,154      X   X 28-5284    3973478              140676
                                                          45,313,498   1,180,039      X     28-13605   1054759              125280
                                                          11,725,286     305,346      X   X 28-13605    298045       150      7151
                                                             769,958      20,051      X     28-13663     18991                1060
                                                           1,252,339      32,613      X   X 28-13663     31930                 683
MERCURY COMPUTER SYS           COM            589378108        2,650         200      X     28-5284                            200
MERCURY GENL CORP NEW          COM            589400100      152,215       3,480      X     28-5284                           3480
                                                               3,718          85      X   X 28-5284         85
MEREDITH CORP                  COM            589433101       56,221       1,732      X     28-5284       1650                  82
                                                              22,722         700      X   X 28-5284        700
MERGE HEALTHCARE INC           COM            589499102       65,925      11,250      X     28-5284      11250
                                                              84,700      14,454      X     28-13605     14454
MERIDIAN BIOSCIENCE INC        COM            589584101    1,482,861      76,515      X     28-5284      76515
                                                              69,574       3,590      X   X 28-5284        200                3390
                                                               1,628          84      X     28-13605        84
MERIT MED SYS INC              COM            589889104        6,210         500      X     28-5284        500
MERITAGE HOMES CORP            COM            59001A102       16,344         604      X     28-5284        604
MERITOR INC                    COM            59001K100       14,825       1,837      X     28-5284       1837
                                                               9,353       1,159      X   X 28-5284       1159
MERU NETWORKS INC              COM            59047Q103        4,050       1,000      X   X 28-5284       1000
MESA LABS INC                  COM            59064R109       49,320       1,000      X   X 28-5284       1000
MESABI TR                      CTF BEN INT    590672101      122,805       4,008      X     28-13605      4008
               COLUMN TOTAL                              334,947,508






                                                                                                                   FILE NO. 28-1235
 PAGE   162 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
METHANEX CORP                  COM            59151K108       24,323         750      X     28-5284        750
                                                               8,108         250      X   X 28-5284        250
                                                               8,108         250      X     28-13605       250
METHODE ELECTRS INC            COM            591520200        2,970         320      X     28-5284                            320
METLIFE INC                    COM            59156R108   12,337,489     330,321      X     28-5284     315897               14424
                                                           3,684,802      98,656      X   X 28-5284      90386                8270
                                                           3,835,247     102,684      X     28-13605     90449               12235
                                                           1,176,338      31,495      X   X 28-13605     31495
                                                             141,743       3,795      X     28-13663      3481                 314
                                                              22,037         590      X   X 28-13663       590
METROPCS COMMUNICATIONS INC    COM            591708102       95,729      10,613      X     28-5284       2601                8012
                                                              45,623       5,058      X   X 28-5284       5058
                                                              39,129       4,338      X     28-13605      1000                3338
                                                               9,020       1,000      X     28-13663      1000
METTLER TOLEDO INTERNATIONAL   COM            592688105      158,146         856      X   X 28-5284        856
MFS HIGH YIELD MUN TR          SH BEN INT     59318E102       59,898      12,224      X   X 28-5284      12224
MICROS SYS INC                 COM            594901100       21,950         397      X   X 28-5284        397
                                                              76,964       1,392      X     28-13605      1392
MICROSOFT CORP                 COM            594918104  190,829,450   5,916,275      X     28-5284    5635671              280604
                                                         119,160,324   3,694,321      X   X 28-5284    3404820              289501
                                                          85,317,249   2,645,086      X     28-13605   2459603              185483
                                                          20,618,428     639,232      X   X 28-13605    620684       593     17955
                                                           1,455,346      45,120      X     28-13663     30753               14367
                                                           1,476,376      45,772      X   X 28-13663     45701                  71
MICROSTRATEGY INC              CL A NEW       594972408       14,840         106      X     28-5284        100                   6
MICROCHIP TECHNOLOGY INC       COM            595017104      692,515      18,616      X     28-5284      11538                7078
                                                           1,036,950      27,875      X   X 28-5284      17279               10596
                                                             177,444       4,770      X     28-13605      2624                2146
                                                              26,970         725      X   X 28-13605       725
               COLUMN TOTAL                              442,553,516






                                                                                                                   FILE NO. 28-1235
 PAGE   163 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MICRON TECHNOLOGY INC          COM            595112103       57,685       7,126      X     28-5284       7100                  26
                                                              62,906       7,771      X   X 28-5284       6199                1572
                                                             106,765      13,189      X     28-13605      2800               10389
                                                               5,869         725      X   X 28-13605       725
                                                               4,889         604      X     28-13663                           604
MICROSEMI CORP                 COM            595137100       12,435         580      X     28-5284                            580
                                                             176,837       8,248      X     28-13605      8248
MID-AMER APT CMNTYS INC        COM            59522J103       11,864         177      X     28-5284        177
                                                               5,631          84      X     28-13605        84
MID PENN BANCORP INC           COM            59540G107        3,030         300      X   X 28-5284                            300
MIDAS GROUP INC                COM            595626102        1,607         140      X     28-5284                            140
MIDDLEBURG FINANCIAL CORP      COM            596094102      476,013      30,300      X   X 28-5284      30300
MIDDLEBY CORP                  COM            596278101       31,973         316      X   X 28-5284        316
                                                               7,083          70      X     28-13605        70
MIDDLESEX WATER CO             COM            596680108      100,136       5,301      X     28-5284       5301
                                                              81,850       4,333      X   X 28-5284       4333
MILLER HERMAN INC              COM            600544100       94,366       4,110      X     28-5284       3000                1110
MILLER INDS INC TENN           COM NEW        600551204       67,934       4,015      X     28-13605      4015
MINDRAY MEDICAL INTL LTD       SPON ADR       602675100    1,022,433      31,011      X     28-5284       1860               29151
                                                             391,684      11,880      X   X 28-5284        400               11480
                                                              27,728         841      X     28-13663                           841
MINE SAFETY APPLIANCES CO      COM            602720104    1,987,491      48,381      X     28-5284      48381
                                                          42,898,612   1,044,270      X   X 28-5284      17292             1026978
MINERALS TECHNOLOGIES INC      COM            603158106        9,812         150      X   X 28-5284        150
MISSION WEST PPTYS INC         COM            605203108      113,390      11,500      X   X 28-5284      11500
                                                             223,635      22,681      X     28-13605     22681
MISTRAS GROUP INC              COM            60649T107        3,573         150      X     28-5284        150
               COLUMN TOTAL                               47,987,231






                                                                                                                   FILE NO. 28-1235
 PAGE   164 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MITSUBISHI UFJ FINL GROUP IN   SPONSORED ADR  606822104        4,044         812      X     28-5284                            812
                                                              12,804       2,571      X   X 28-5284        655                1916
MOBILE MINI INC                COM            60740F105        4,858         230      X     28-5284                            230
MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109       18,340       1,000      X     28-5284       1000
MOHAWK INDS INC                COM            608190104      127,766       1,921      X     28-5284       1921
                                                              11,307         170      X   X 28-5284        170
MOLEX INC                      COM            608554101      158,316       5,630      X     28-5284                           5630
                                                              92,346       3,284      X   X 28-5284       3261                  23
                                                              54,665       1,944      X     28-13605       412                1532
                                                              19,825         705      X   X 28-13663       705
MOLEX INC                      CL A           608554200      209,666       8,941      X     28-5284       2500                6441
                                                             512,664      21,862      X   X 28-5284       6857               15005
MOLSON COORS BREWING CO        NOTE  2.500% 7 60871RAA8      836,000       8,000      X   X 28-5284       8000
                                                             313,500       3,000      X     28-13605      3000
MOLSON COORS BREWING CO        CL B           60871R209      495,397      10,948      X     28-5284       9994                 954
                                                             180,502       3,989      X   X 28-5284       3822                 167
                                                             991,382      21,909      X     28-13605     19867                2042
                                                              77,061       1,703      X   X 28-13605      1703
MOLYCORP INC DEL               COM            608753109        9,506         281      X     28-5284        281
                                                              44,994       1,330      X   X 28-5284       1330
MONEYGRAM INTL INC             COM NEW        60935Y208      148,410       8,245      X   X 28-5284        125                8120
MONMOUTH REAL ESTATE INVT CO   CL A           609720107        1,948         200      X   X 28-5284        200
MONOLITHIC PWR SYS INC         COM            609839105          669          34      X     28-13605                            34
MONRO MUFFLER BRAKE INC        COM            610236101       83,395       2,010      X   X 28-5284        100                1910
                                                               7,883         190      X     28-13605       190
MONSANTO CO NEW                COM            61166W101   15,943,226     199,890      X     28-5284     188675               11215
                                                          31,314,893     392,614      X   X 28-5284     100969              291645
                                                             981,766      12,309      X     28-13605      6085                6224
                                                           1,208,204      15,148      X   X 28-13605     15148
                                                             231,862       2,907      X     28-13663      1602                1305
               COLUMN TOTAL                               54,097,199






                                                                                                                   FILE NO. 28-1235
 PAGE   165 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MONSTER BEVERAGE CORP          COM            611740101      281,640       4,536      X     28-5284       4536
                                                             310,326       4,998      X   X 28-5284       3498                1500
                                                             127,781       2,058      X     28-13605      2058
MONSTER WORLDWIDE INC          COM            611742107       36,114       3,704      X     28-5284       2041                1663
                                                               4,895         502      X   X 28-5284        358                 144
MOODYS CORP                    COM            615369105   16,044,563     381,106      X     28-5284     370930               10176
                                                           5,390,610     128,043      X   X 28-5284     124651                3392
                                                          20,980,282     498,344      X     28-13605    486741               11603
                                                           4,640,388     110,223      X   X 28-13605    105296       108      4819
                                                              71,360       1,695      X     28-13663      1610                  85
                                                               4,210         100      X   X 28-13663       100
MOOG INC                       CL A           615394202       30,366         708      X     28-5284        708
                                                             196,007       4,570      X   X 28-5284       1500                3070
MORGAN STANLEY ASIA PAC FD I   COM            61744U106       24,043       1,618      X   X 28-5284       1618
MORGAN STANLEY                 COM NEW        617446448    2,830,772     144,133      X     28-5284     134014               10119
                                                           2,318,738     118,062      X   X 28-5284     115412                2650
                                                             482,810      24,583      X     28-13605      8131               16452
                                                             177,172       9,021      X   X 28-13605      8271                 750
                                                              10,429         531      X     28-13663                           531
                                                              75,025       3,820      X   X 28-13663      3820
MORGAN STANLEY CHINA A SH FD   COM            617468103          980          50      X   X 28-5284         50
MORGAN STANLEY EM MKTS DM DE   COM            617477104       56,840       3,500      X     28-5284       3500
MORNINGSTAR INC                COM            617700109      523,252       8,299      X     28-5284                           8299
                                                             145,330       2,305      X   X 28-5284       1099                1206
                                                              12,610         200      X   X 28-13605                           200
                                                              19,167         304      X     28-13663                           304
MOSAIC CO NEW                  COM            61945C103    1,144,171      20,694      X     28-5284      19835                 859
                                                             757,639      13,703      X   X 28-5284       8293                5410
                                                             730,934      13,220      X     28-13605      9514                3706
                                                              75,526       1,366      X   X 28-13605      1266                 100
                                                               4,755          86      X     28-13663                            86
                                                              33,174         600      X   X 28-13663       600
               COLUMN TOTAL                               57,541,909






                                                                                                                   FILE NO. 28-1235
 PAGE   166 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MOTOROLA SOLUTIONS INC         COM NEW        620076307    1,517,377      29,852      X     28-5284      28697                1155
                                                             998,250      19,639      X   X 28-5284      19054                 585
                                                             241,290       4,747      X     28-13605      1388                3359
                                                             429,564       8,451      X   X 28-13605      8451
                                                               7,421         146      X     28-13663                           146
                                                               2,440          48      X   X 28-13663        48
MOTOROLA MOBILITY HLDGS INC    COM            620097105      918,334      23,403      X     28-5284      22534                 869
                                                             623,288      15,884      X   X 28-5284      15649                 235
                                                             156,450       3,987      X     28-13605       945                3042
                                                             291,122       7,419      X   X 28-13605      7419
                                                               1,648          42      X   X 28-13663        42
MOVADO GROUP INC               COM            624580106       75,197       3,063      X     28-13605      3063
MUELLER INDS INC               COM            624756102       11,817         260      X     28-5284                            260
                                                              45,450       1,000      X   X 28-5284                           1000
MUELLER WTR PRODS INC          COM SER A      624758108        3,330       1,000      X     28-5284       1000
                                                              13,320       4,000      X   X 28-5284       4000
MULTI COLOR CORP               COM            625383104       59,809       2,657      X     28-5284       2657
MURPHY OIL CORP                COM            626717102      541,486       9,623      X     28-5284       8925                 698
                                                             430,240       7,646      X   X 28-5284       7304                 342
                                                             687,619      12,220      X     28-13605      9965                2255
                                                           1,228,993      21,841      X   X 28-13605     21841
                                                               3,939          70      X     28-13663                            70
MYERS INDS INC                 COM            628464109       55,726       3,778      X     28-5284       3520                 258
                                                           3,732,060     253,021      X   X 28-5284                         253021
                                                             176,425      11,961      X     28-13605     11961
MYLAN INC                      COM            628530107      297,182      12,673      X     28-5284      11745                 928
                                                             274,435      11,703      X   X 28-5284       9662                2041
                                                             150,361       6,412      X     28-13605      1513                4899
                                                                 985          42      X     28-13663                            42
                                                               4,690         200      X   X 28-13663       200
MYRIAD GENETICS INC            COM            62855J104       22,879         967      X     28-5284        967
                                                              13,392         566      X   X 28-5284        566
                                                             128,758       5,442      X     28-13605      5442
               COLUMN TOTAL                               13,145,277






                                                                                                                   FILE NO. 28-1235
 PAGE   167 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
MYREXIS INC                    COM            62856H107          758         250      X     28-5284        250
NBT BANCORP INC                COM            628778102      338,001      15,308      X     28-5284      15308
                                                             152,087       6,888      X   X 28-5284       6888
NCR CORP NEW                   COM            62886E108       12,440         573      X     28-5284        573
                                                              66,910       3,082      X   X 28-5284       2922                 160
                                                               4,342         200      X     28-13605       200
                                                               3,734         172      X   X 28-13605       136                  36
NCI INC                        CL A           62886K104       25,560       4,000      X     28-5284       4000
NII HLDGS INC                  CL B NEW       62913F201      114,254       6,240      X     28-5284       6240
                                                              42,424       2,317      X   X 28-5284       2317
NN INC                         COM            629337106       26,112       3,200      X   X 28-5284                           3200
NRG ENERGY INC                 COM NEW        629377508       41,839       2,670      X     28-5284       1740                 930
                                                             770,165      49,149      X     28-13605     46521                2628
                                                               2,507         160      X   X 28-13605       160
NTT DOCOMO INC                 SPONS ADR      62942M201        2,150         129      X     28-5284        129
                                                               8,002         480      X   X 28-5284        480
NVR INC                        COM            62944T105       12,348          17      X     28-5284         17
                                                             236,784         326      X   X 28-5284                            326
NYSE EURONEXT                  COM            629491101    5,175,164     172,448      X     28-5284     168872                3576
                                                           1,489,396      49,630      X   X 28-5284      49141                 489
                                                             242,181       8,070      X     28-13605      5095                2975
                                                             121,991       4,065      X   X 28-13605      4055                  10
                                                              16,475         549      X     28-13663                           549
                                                              39,463       1,315      X   X 28-13663      1315
NACCO INDS INC                 CL A           629579103    7,887,908      67,783      X     28-5284      67783
                                                          11,751,624     100,985      X   X 28-5284      70985               30000
                                                             108,806         935      X     28-13605       935
NAM TAI ELECTRS INC            COM PAR $0.02  629865205        4,186         700      X   X 28-5284        700
NANOMETRICS INC                COM            630077105        2,055         111      X     28-13605       111
               COLUMN TOTAL                               28,699,666






                                                                                                                   FILE NO. 28-1235
 PAGE   168 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NASDAQ PREM INCM & GRW FD IN   COM            63110R105       21,905       1,389      X     28-5284       1389
                                                              15,770       1,000      X   X 28-5284       1000
NASDAQ OMX GROUP INC           COM            631103108       24,786         957      X     28-5284        375                 582
                                                              22,663         875      X   X 28-5284        595                 280
                                                              45,506       1,757      X     28-13605       371                1386
                                                               3,186         123      X   X 28-13605       123
                                                               1,321          51      X     28-13663                            51
NASH FINCH CO                  COM            631158102        2,558          90      X     28-5284                             90
NATHANS FAMOUS INC NEW         COM            632347100       69,939       3,299      X     28-5284       3299
NATIONAL AMERN UNIV HLDGS IN   COM            63245Q105       54,968       8,725      X   X 28-5284                           8725
                                                              11,970       1,900      X     28-13605                          1900
                                                             164,210      26,065      X   X 28-13605     26065
NATIONAL FUEL GAS CO N J       COM            636180101    1,302,368      27,065      X     28-5284      26433                 632
                                                             526,481      10,941      X   X 28-5284      10241                 700
                                                              17,804         370      X     28-13605       370
NATIONAL GRID PLC              SPON ADR NEW   636274300      612,928      12,142      X     28-5284      12142
                                                             123,827       2,453      X   X 28-5284       2453
                                                               8,430         167      X     28-13605       167
                                                               4,846          96      X   X 28-13605        96
                                                             151,440       3,000      X   X 28-13663      3000
NATIONAL HEALTH INVS INC       COM            63633D104       17,073         350      X     28-5284        350
                                                              35,609         730      X   X 28-5284        730
                                                             149,755       3,070      X     28-13605      3070
NATIONAL INSTRS CORP           COM            636518102       39,358       1,380      X     28-5284                           1380
                                                              11,208         393      X   X 28-5284        393
NATIONAL OILWELL VARCO INC     COM            637071101   51,241,779     644,794      X     28-5284     610720               34074
                                                          12,406,221     156,112      X   X 28-5284     122404               33708
                                                          49,467,691     622,470      X     28-13605    568566               53904
                                                           9,137,222     114,977      X   X 28-13605    109249       167      5561
                                                             811,230      10,208      X     28-13663      7977                2231
                                                             289,032       3,637      X   X 28-13663      3637
               COLUMN TOTAL                              126,793,084






                                                                                                                   FILE NO. 28-1235
 PAGE   169 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NATIONAL PENN BANCSHARES INC   COM            637138108       89,226      10,082      X     28-5284      10082
                                                              11,691       1,321      X   X 28-5284                           1321
                                                              38,436       4,343      X   X 28-13605      4343
NATIONAL PRESTO INDS INC       COM            637215104      221,511       2,920      X     28-5284       2880                  40
                                                              11,379         150      X   X 28-5284        150
NATIONAL RETAIL PPTYS INC      COM            637417106       42,090       1,548      X     28-5284       1548
                                                              38,066       1,400      X   X 28-5284                           1400
                                                              96,144       3,536      X     28-13605      3536
NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103      738,892      30,800      X     28-5284      30800
                                                             730,496      30,450      X   X 28-5284      28050                2400
                                                              45,581       1,900      X     28-13605      1900
                                                              48,100       2,005      X   X 28-13605      2005
NAVISTAR INTL CORP NEW         COM            63934E108       71,718       1,773      X     28-5284       1603                 170
                                                               6,877         170      X   X 28-5284        170
NAVIGANT CONSULTING INC        COM            63935N107        7,929         570      X     28-5284        570
NEKTAR THERAPEUTICS            COM            640268108        8,268       1,044      X     28-5284       1044
                                                              44,352       5,600      X   X 28-5284                           5600
NEOGEN CORP                    COM            640491106    1,579,835      40,436      X     28-13605     33825                6611
                                                               9,064         232      X   X 28-13605       232
NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206       59,158       6,544      X   X 28-5284                           6544
NETAPP INC                     COM            64110D104    1,663,206      37,150      X     28-5284      18889               18261
                                                           1,243,352      27,772      X   X 28-5284      14312               13460
                                                             301,436       6,733      X     28-13605      2602                4131
                                                              60,932       1,361      X   X 28-13605      1361
                                                               4,119          92      X     28-13663                            92
NETFLIX INC                    COM            64110L106      537,467       4,672      X     28-5284        661                4011
                                                             847,155       7,364      X   X 28-5284       1084                6280
                                                             120,677       1,049      X     28-13605       435                 614
                                                              15,530         135      X   X 28-13605                           135
                                                              46,016         400      X     28-13663                           400
               COLUMN TOTAL                                8,738,703






                                                                                                                   FILE NO. 28-1235
 PAGE   170 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NETGEAR INC                    COM            64111Q104      485,102      12,699      X     28-5284                          12699
                                                              70,670       1,850      X   X 28-5284                           1850
                                                               2,712          71      X     28-13605        71
                                                              17,763         465      X     28-13663                           465
NETSUITE INC                   COM            64118Q107       30,174         600      X   X 28-5284        500                 100
NEUSTAR INC                    CL A           64126X201       21,270         571      X   X 28-5284        571
                                                             630,792      16,934      X     28-13605     16934
NEUBERGER BERMAN HGH YLD FD    COM            64128C106        4,363         322      X     28-5284        322
NEVSUN RES LTD                 COM            64156L101        2,760         750      X   X 28-5284        750
NEUBERGER BERMAN RE ES SEC F   COM            64190A103        7,986       1,866      X   X 28-5284                           1866
NEW GERMANY FD INC             COM            644465106       61,481       4,077      X   X 28-5284       4077
NEW GOLD INC CDA               COM            644535106       31,616       3,200      X     28-5284       3200
NEW JERSEY RES                 COM            646025106      401,308       9,004      X     28-5284       8719                 285
                                                             206,671       4,637      X   X 28-5284       2337                2300
                                                             414,501       9,300      X   X 28-13605      9300
NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107        5,492         200      X     28-5284        200
NEW YORK CMNTY BANCORP INC     COM            649445103    1,994,012     143,351      X     28-5284     111689               31662
                                                           1,082,337      77,810      X   X 28-5284      76710                1100
                                                              19,752       1,420      X     28-13605      1420
                                                               6,260         450      X   X 28-13605       450
NEW YORK TIMES CO              CL A           650111107          781         115      X     28-5284                            115
                                                               8,657       1,275      X     28-13605                          1275
NEWCASTLE INVT CORP            COM            65105M108      639,009     101,753      X     28-13605    101753
NEWELL RUBBERMAID INC          COM            651229106      405,267      22,755      X     28-5284      20043                2712
                                                             332,887      18,691      X   X 28-5284      18491                 200
                                                              71,026       3,988      X     28-13605       856                3132
                                                              21,372       1,200      X   X 28-13605      1200
                                                                 552          31      X     28-13663                            31
               COLUMN TOTAL                                6,976,573






                                                                                                                   FILE NO. 28-1235
 PAGE   171 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NEWFIELD EXPL CO               COM            651290108      749,019      21,598      X     28-5284       4977               16621
                                                             588,866      16,980      X   X 28-5284       5493               11487
                                                              66,135       1,907      X     28-13605       431                1476
                                                              45,951       1,325      X     28-13663                          1325
                                                              24,276         700      X   X 28-13663       700
NEWMARKET CORP                 COM            651587107       34,107         182      X     28-5284                            182
                                                             138,676         740      X   X 28-5284                            740
                                                              18,740         100      X     28-13605       100
NEWMONT MINING CORP            NOTE  1.250% 7 651639AH9      378,000       3,000      X     28-13605      3000
NEWMONT MINING CORP            NOTE  1.625% 7 651639AJ5      394,500       3,000      X     28-5284       3000
NEWMONT MINING CORP            COM            651639106    7,833,851     152,796      X     28-5284     149772                3024
                                                           1,426,075      27,815      X   X 28-5284      27216                 599
                                                             404,161       7,883      X     28-13605      1952                5931
                                                              57,474       1,121      X   X 28-13605      1071                  50
                                                             121,100       2,362      X     28-13663      2100                 262
                                                              35,889         700      X   X 28-13663       700
NEWPARK RES INC                COM PAR $.01NE 651718504        1,925         235      X     28-5284        235
NEWS CORP                      CL A           65248E104    5,212,802     264,475      X     28-5284     161044              103431
                                                           2,993,910     151,898      X   X 28-5284      60005               91893
                                                             696,000      35,312      X     28-13605     11299               24013
                                                              40,603       2,060      X   X 28-13605      2060
                                                              72,513       3,679      X     28-13663                          3679
NEWS CORP                      CL B           65248E203      406,090      20,335      X     28-5284       2810               17525
                                                             139,790       7,000      X   X 28-5284        700                6300
                                                             127,309       6,375      X     28-13663                          6375
NEXEN INC                      COM            65334H102      211,906      11,548      X     28-5284       4382                7166
                                                             197,795      10,779      X   X 28-5284                          10779
                                                               2,367         129      X   X 28-13605       129
NEXTERA ENERGY INC             COM            65339F101   57,627,514     943,476      X     28-5284     936604                6872
                                                          45,919,455     751,792      X   X 28-5284     730303               21489
                                                           5,491,642      89,909      X     28-13605     85012                4897
                                                           2,716,594      44,476      X   X 28-13605     41070                3406
                                                             352,920       5,778      X     28-13663      5535                 243
                                                           1,298,011      21,251      X   X 28-13663     21251
               COLUMN TOTAL                              135,825,966






                                                                                                                   FILE NO. 28-1235
 PAGE   172 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NICE SYS LTD                   SPONSORED ADR  653656108       79,976       2,035      X     28-5284       2035
NIKE INC                       CL B           654106103   40,295,436     371,592      X     28-5284     357696               13896
                                                          31,710,242     292,422      X   X 28-5284     270833               21589
                                                           4,222,654      38,940      X     28-13605     34113                4827
                                                           3,696,720      34,090      X   X 28-13605     32440                1650
                                                             396,023       3,652      X     28-13663      2950                 702
                                                              74,281         685      X   X 28-13663       685
NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105      157,978       6,984      X     28-5284        175                6809
                                                             233,642      10,329      X   X 28-5284         23               10306
NISKA GAS STORAGE PARTNERS L   UNIT LTD LIABI 654678101       58,080       6,088      X     28-5284       6088
                                                              16,218       1,700      X   X 28-5284       1700
                                                             147,479      15,459      X     28-13605     15459
NISOURCE INC                   COM            65473P105      180,921       7,430      X     28-5284       5536                1894
                                                             200,936       8,252      X   X 28-5284       7741                 511
                                                             114,226       4,691      X     28-13605      1383                3308
                                                               3,239         133      X   X 28-13605       133
                                                              10,105         415      X     28-13663       400                  15
NOKIA CORP                     SPONSORED ADR  654902204      597,005     108,744      X     28-5284      90665               18079
                                                             691,367     125,932      X   X 28-5284      87547               38385
                                                              16,003       2,915      X     28-13605      2915
                                                               2,745         500      X   X 28-13605       500
NOBLE ENERGY INC               COM            655044105   11,776,917     120,443      X     28-5284      97227               23216
                                                           3,259,790      33,338      X   X 28-5284      15099               18239
                                                          21,018,007     214,952      X     28-13605    208724                6228
                                                           3,878,150      39,662      X   X 28-13605     38427        58      1177
                                                             278,771       2,851      X     28-13663       425                2426
                                                               9,778         100      X   X 28-13663       100
NOMURA HLDGS INC               SPONSORED ADR  65535H208       14,469       3,281      X     28-5284       3281
                                                              13,331       3,023      X   X 28-5284       3023
NORANDA ALUM HLDG CORP         COM            65542W107       20,937       2,100      X   X 28-5284                           2100
NORDSON CORP                   COM            655663102       72,444       1,329      X   X 28-5284       1329
                                                               7,195         132      X     28-13605       132
                                                               1,853          34      X   X 28-13605        34
               COLUMN TOTAL                              123,256,918






                                                                                                                   FILE NO. 28-1235
 PAGE   173 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NORDSTROM INC                  COM            655664100    1,996,615      35,833      X     28-5284      33446                2387
                                                           2,644,137      47,454      X   X 28-5284      47344                 110
                                                             128,602       2,308      X     28-13605       484                1824
                                                              29,810         535      X   X 28-13605       535
                                                              11,144         200      X   X 28-13663       200
NORFOLK SOUTHERN CORP          COM            655844108   19,562,109     297,161      X     28-5284     293956                3205
                                                          25,521,764     387,692      X   X 28-5284     379597                8095
                                                           5,213,736      79,200      X     28-13605     75533                3667
                                                           4,300,147      65,322      X   X 28-13605     64022                1300
                                                              96,243       1,462      X     28-13663      1320                 142
                                                              13,166         200      X   X 28-13663       200
NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106      242,572       7,400      X     28-5284       7400
                                                              90,145       2,750      X   X 28-5284       1750                1000
NORTHEAST UTILS                COM            664397106   13,822,003     372,360      X     28-5284     362582                9778
                                                           3,139,535      84,578      X   X 28-5284      76808                7770
                                                          21,109,661     568,687      X     28-13605    516245               52442
                                                           4,005,211     107,899      X   X 28-13605    103093       142      4664
                                                              27,914         752      X     28-13663       752
                                                              62,139       1,674      X   X 28-13663      1674
NORTHERN TECH INTL CORP        COM            665809109          948          60      X   X 28-5284         60
NORTHERN TR CORP               COM            665859104    4,779,117     100,719      X     28-5284      99778                 941
                                                           2,856,537      60,201      X   X 28-5284      59173                1028
                                                           4,178,447      88,060      X     28-13605     85073                2987
                                                           1,493,394      31,473      X   X 28-13605     31173                 300
                                                                 664          14      X     28-13663                            14
NORTHROP GRUMMAN CORP          COM            666807102    4,037,449      66,101      X     28-5284      63533                2568
                                                           5,529,695      90,532      X   X 28-5284      88463                2069
                                                           1,574,887      25,784      X     28-13605     22778                3006
                                                             534,084       8,744      X   X 28-13605      8744
                                                              94,613       1,549      X     28-13663      1498                  51
                                                              20,217         331      X   X 28-13663       250                  81
NORTHSTAR RLTY FIN CORP        COM            66704R100       30,907       5,713      X   X 28-5284       5713
NORTHWEST BANCSHARES INC MD    COM            667340103      442,722      34,860      X     28-5284      34860
                                                              97,790       7,700      X   X 28-5284       5500                2200
               COLUMN TOTAL                              127,688,124






                                                                                                                   FILE NO. 28-1235
 PAGE   174 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NORTHWEST NAT GAS CO           COM            667655104       54,026       1,190      X     28-5284       1000                 190
                                                             249,700       5,500      X   X 28-5284       3100                2400
NORTHWEST PIPE CO              COM            667746101        8,645         407      X     28-5284        407
                                                               1,890          89      X   X 28-5284         89
NORTHWESTERN CORP              COM NEW        668074305      102,834       2,900      X   X 28-5284                           2900
                                                             320,665       9,043      X     28-13605      9043
                                                                 887          25      X   X 28-13605        25
NORWOOD FINANCIAL CORP         COM            669549107      125,557       4,738      X     28-5284       4738
                                                             144,346       5,447      X   X 28-5284       5447
NOVAGOLD RES INC               COM NEW        66987E206       16,536       2,303      X     28-5284       2303
                                                              19,386       2,700      X   X 28-5284       2700
NOVABAY PHARMACEUTICALS INC    COM            66987P102       21,920      16,000      X   X 28-5284      16000
NOVARTIS A G                   SPONSORED ADR  66987V109   17,760,401     320,527      X     28-5284     313995                6532
                                                          10,043,672     181,261      X   X 28-5284     169340               11921
                                                             831,150      15,000      X     28-13605     15000
                                                           2,118,213      38,228      X   X 28-13605     36622                1606
                                                             135,533       2,446      X     28-13663      2446
                                                             102,509       1,850      X   X 28-13663      1850
NOVELLUS SYS INC               COM            670008101       11,829         237      X     28-5284         22                 215
                                                              36,135         724      X   X 28-5284        705                  19
                                                              49,611         994      X     28-13605       211                 783
NOVO-NORDISK A S               ADR            670100205    3,174,933      22,889      X     28-5284      22657                 232
                                                           7,060,339      50,900      X   X 28-5284      45932                4968
                                                              12,623          91      X     28-13605        91
                                                              18,032         130      X   X 28-13605       130
NU SKIN ENTERPRISES INC        CL A           67018T105       53,856         930      X     28-5284                            930
                                                              46,907         810      X   X 28-5284        810
NSTAR                          COM            67019E107   11,741,616     241,448      X     28-5284     241248                 200
                                                           3,317,101      68,211      X   X 28-5284      64405                3806
                                                           3,275,863      67,363      X     28-13605     67277                  86
                                                             865,906      17,806      X   X 28-13605     17806
                                                             115,642       2,378      X     28-13663      2378
                                                               2,918          60      X   X 28-13663        60
               COLUMN TOTAL                               61,841,181






                                                                                                                   FILE NO. 28-1235
 PAGE   175 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NUANCE COMMUNICATIONS INC      COM            67020Y100       12,074         472      X     28-5284        472
                                                             421,712      16,486      X   X 28-5284      16486
                                                              43,486       1,700      X     28-13605      1700
NUCOR CORP                     COM            670346105    1,220,897      28,426      X     28-5284      26396                2030
                                                             511,492      11,909      X   X 28-5284      11909
                                                             319,419       7,437      X     28-13605      3876                3561
                                                             191,085       4,449      X   X 28-13605      4449
NUSTAR ENERGY LP               UNIT COM       67058H102      769,635      13,027      X     28-5284      13027
                                                           2,808,781      47,542      X   X 28-5284      44042                3500
                                                              29,540         500      X     28-13605       500
                                                              53,172         900      X   X 28-13605       900
NUSTAR GP HOLDINGS LLC         UNIT RESTG LLC 67059L102       60,585       1,750      X   X 28-5284        325                1425
NUVEEN EQTY PRM OPPORTUNITYF   COM            6706EM102       14,567       1,196      X     28-5284       1196
                                                              12,180       1,000      X   X 28-5284       1000
                                                              36,540       3,000      X     28-13605      3000
NUVEEN FLTNG RTE INCM OPP FD   COM SHS        6706EN100       42,175       3,500      X   X 28-5284       3500
NUVEEN DIVERSIFIED DIV INCM    COM            6706EP105        9,384         800      X   X 28-5284        800
NUVEEN EQUITY PREM INCOME FD   COM            6706ER101        7,781         650      X     28-5284        650
NUVEEN PREM INCOME MUN FD 4    COM            6706K4105       25,956       1,937      X     28-13605      1937
NUVEEN N C PREM INCOME MUN F   SH BEN INT     67060P100       51,768       3,355      X     28-5284       3355
NUVEEN PA PREM INCOME MUN FD   COM            67061F101      312,026      21,820      X     28-5284      21820
                                                             459,430      32,128      X   X 28-5284      26681                5447
NUVEEN MD PREM INCOME MUN FD   COM            67061Q107       42,901       2,804      X     28-13605      2804
NUVEEN ARIZ PREM INCOME MUN    COM            67061W104       65,653       4,442      X   X 28-5284       4442
NUVEEN INVT QUALITY MUN FD I   COM            67062E103       28,134       1,800      X     28-5284       1800
                                                              46,187       2,955      X   X 28-5284       2955
NUVEEN MUN ADVANTAGE FD INC    COM            67062H106      271,133      18,609      X     28-5284      18609
                                                              23,225       1,594      X   X 28-5284       1594
               COLUMN TOTAL                                7,890,918






                                                                                                                   FILE NO. 28-1235
 PAGE   176 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NUVEEN MUN INCOME FD INC       COM            67062J102       89,981       7,970      X   X 28-5284       7970
NUVEEN QUALITY MUN FD INC      COM            67062N103        2,852         200      X   X 28-5284        200
NUVEEN PREM INCOME MUN FD      COM            67062T100       21,735       1,500      X   X 28-5284       1500
NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103        1,409         100      X     28-5284        100
NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106        9,091         667      X     28-5284        667
NUVEEN PREM INCOME MUN FD 2    COM            67063W102       15,000       1,000      X     28-5284       1000
                                                             217,815      14,521      X   X 28-5284      14521
NUVEEN AMT-FREE MUN INCOME F   COM            670657105      160,631      11,101      X     28-5284      11101
                                                               8,827         610      X   X 28-5284        610
NVIDIA CORP                    COM            67066G104      222,612      14,460      X     28-5284       3940               10520
                                                             145,452       9,448      X     28-13605      2402                7046
                                                               7,036         457      X   X 28-13605       457
                                                               4,619         300      X     28-13663                           300
NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101       40,212       2,758      X     28-5284       2758
NUVEEN SR INCOME FD            COM            67067Y104       44,513       6,243      X   X 28-5284       3243                3000
NUTRI SYS INC NEW              COM            67069D108       16,845       1,500      X     28-5284       1500
NUVEEN CA DIV ADVANTG MUN FD   COM            67069X104       14,930       1,000      X     28-5284       1000
NUVEEN OH DIV ADVANTAGE MUN    COM            67070C107      101,381       6,665      X   X 28-5284       6665
NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103        9,629         680      X   X 28-5284        680
NUVEEN OH DIV ADV MUNI FD 2    COM SH BEN INT 67070R104       41,664       2,800      X     28-5284       2800
NUVEEN MD DIV ADV MUNI FD 2    COM SH BEN INT 67070V105       43,953       3,000      X   X 28-5284       3000
NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101       98,442       6,665      X   X 28-5284       6665
NUVASIVE INC                   COM            670704105      111,481       6,620      X     28-13605      6620
NUVEEN DIVID ADVANTAGE MUN I   COM            67071L106       29,920       2,000      X     28-5284       2000
               COLUMN TOTAL                                1,460,030






                                                                                                                   FILE NO. 28-1235
 PAGE   177 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NUVEEN QUALITY PFD INCOME FD   COM            67071S101       24,317       2,980      X   X 28-5284       2980
NUVEEN OHIO DIVID ADVANTAGE    COM            67071V104       25,373       1,666      X     28-5284       1666
NUVEEN PA DIVID ADVANTAGE MU   COM            67071W102       28,792       2,000      X   X 28-5284                           2000
NUVEEN MD DIV ADV MUN FD 3     COM            67072A109       25,573       1,815      X     28-13605      1815
NUVEEN QUALITY PFD INCOME FD   COM            67072C105       11,551       1,340      X     28-5284       1340
                                                              34,480       4,000      X   X 28-5284       4000
NUVEEN QUALITY PFD INC FD 3    COM            67072W101        9,984       1,200      X     28-5284       1200
NUVEEN GLB GOVT ENHANCED IN    COM            67073C104       43,062       3,005      X   X 28-5284       3005
NUVEEN MULT STRAT INCM GR FD   COM SHS        67073D102       20,205       2,250      X     28-5284       2250
                                                               6,735         750      X   X 28-5284        750
NV ENERGY INC                  COM            67073Y106       78,585       4,875      X     28-5284       4875
                                                              24,373       1,512      X   X 28-5284       1512
NUVEEN BUILD AMER BD FD        COM            67074C103       72,648       3,600      X   X 28-5284       3600
NUVEEN BUILD AMER BD OPPTNY    COM            67074Q102       56,745       2,706      X   X 28-5284       2706
O CHARLEYS INC                 COM            670823103        1,673         170      X     28-5284                            170
OGE ENERGY CORP                COM            670837103   14,336,342     267,969      X     28-5284     262029                5940
                                                           3,600,871      67,306      X   X 28-5284      62351                4955
                                                          26,919,274     503,164      X     28-13605    438582               64582
                                                           5,034,029      94,094      X   X 28-13605     90882       119      3093
                                                              47,455         887      X     28-13663       887
                                                               8,560         160      X   X 28-13663       160
OI S.A.                        SPN ADR REP PF 670851203      105,115       6,611      X     28-13605      6611
OM GROUP INC                   COM            670872100      176,752       6,425      X     28-5284       6185                 240
                                                              55,020       2,000      X   X 28-5284       2000
NUVEEN CORE EQUITY ALPHA FUN   COM            67090X107       18,005       1,300      X     28-5284       1300
               COLUMN TOTAL                               50,765,519






                                                                                                                   FILE NO. 28-1235
 PAGE   178 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
NUVEEN MUN VALUE FD INC        COM            670928100       69,715       6,923      X     28-5284       6923
                                                             201,853      20,045      X   X 28-5284      20045
                                                               9,728         966      X     28-13605       966
NUVEEN NJ INVT QUALITY MUN F   COM            670971100       17,091       1,173      X     28-5284       1173
NUVEEN PA INVT QUALITY MUN F   COM            670972108      266,949      17,155      X     28-5284      17155
                                                           1,324,085      85,090      X   X 28-5284      81119                3971
NUVEEN QUALITY INCOME MUN FD   COM            670977107       23,157       1,550      X     28-5284       1550
                                                              39,830       2,666      X   X 28-5284       2666
                                                                 164          11      X     28-13605        11
                                                               1,509         101      X   X 28-13605       101
NUVEEN MICH QUALITY INCOME M   COM            670979103       16,017       1,060      X     28-5284       1060
NUVEEN OHIO QUALITY INCOME M   COM            670980101       26,018       1,497      X     28-5284       1497
NUVEEN MUN OPPORTUNITY FD IN   COM            670984103      229,421      15,703      X     28-5284      15703
                                                             202,860      13,885      X   X 28-5284      12050                1835
NUVEEN PREMIER OPPURTUNITY F   COM            670987106      224,850      15,000      X   X 28-5284      15000
O REILLY AUTOMOTIVE INC NEW    COM            67103H107    3,606,589      39,481      X     28-5284      37853                1628
                                                           1,811,288      19,828      X   X 28-5284      15590                4238
                                                           4,760,157      52,109      X     28-13605     50255                1854
                                                             707,049       7,740      X   X 28-13605      7709        31
                                                              31,242         342      X     28-13663       300                  42
OSI SYSTEMS INC                COM            671044105    4,083,377      66,613      X     28-13605     54007               12606
                                                              22,804         372      X   X 28-13605       372
O2MICRO INTERNATIONAL LTD      SPONS ADR      67107W100        6,339       1,130      X     28-5284       1130
                                                              38,008       6,775      X   X 28-5284       6775
OYO GEOSPACE CORP              COM            671074102       22,751         216      X     28-5284        216
                                                             165,684       1,573      X   X 28-5284       1573
                                                               1,369          13      X     28-13605        13
OASIS PETE INC NEW             COM            674215108      155,044       5,029      X     28-5284        504                4525
                                                              28,394         921      X   X 28-5284        921
               COLUMN TOTAL                               18,093,342






                                                                                                                   FILE NO. 28-1235
 PAGE   179 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
OCCIDENTAL PETE CORP DEL       COM            674599105   40,279,528     422,971      X     28-5284     413864                9107
                                                          13,802,160     144,935      X   X 28-5284     132514               12421
                                                           2,276,092      23,901      X     28-13605     14152                9749
                                                             153,320       1,610      X   X 28-13605      1610
                                                             392,348       4,120      X     28-13663      3963                 157
                                                             481,864       5,060      X   X 28-13663      5060
OCEAN PWR TECHNOLOGIES INC     COM NEW        674870308        3,060       1,000      X   X 28-13663                          1000
OCEAN SHORE HLDG CO NEW        COM            67501R103        5,092         439      X   X 28-5284        439
OCEANEERING INTL INC           COM            675232102      144,533       2,682      X     28-5284       2682
                                                             210,979       3,915      X   X 28-5284       3915
                                                             323,340       6,000      X     28-13605      6000
OCWEN FINL CORP                COM NEW        675746309      525,856      33,644      X     28-13605     33644
OFFICEMAX INC DEL              COM            67622P101        1,910         334      X     28-5284        334
OFFICE DEPOT INC               COM            676220106        1,208         350      X     28-5284        350
                                                                 104          30      X     28-13605        30
OIL DRI CORP AMER              COM            677864100        4,258         200      X   X 28-5284        200
OIL STS INTL INC               COM            678026105      652,972       8,365      X     28-5284         27                8338
                                                             437,058       5,599      X   X 28-5284        496                5103
                                                           2,112,147      27,058      X     28-13605     22809                4249
                                                             151,202       1,937      X   X 28-13605      1937
                                                              19,983         256      X     28-13663                           256
OLD DOMINION FGHT LINES INC    COM            679580100       12,347         259      X     28-5284        259
                                                               9,534         200      X   X 28-5284        200
                                                             514,741      10,798      X     28-13605     10798
OLD LINE BANCSHARES INC        COM            67984M100      315,000      30,000      X   X 28-5284                          30000
OLD NATL BANCORP IND           COM            680033107      140,164      10,667      X     28-5284      10667
OLD REP INTL CORP              COM            680223104      299,187      28,359      X     28-5284       7038               21321
                                                             141,085      13,373      X   X 28-5284      13373
                                                           1,714,164     162,480      X   X 28-13605     37500              124980
               COLUMN TOTAL                               65,125,236






                                                                                                                   FILE NO. 28-1235
 PAGE   180 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
OLIN CORP                      COM PAR $1     680665205       15,443         710      X     28-5284        710
                                                             200,405       9,214      X   X 28-5284       9214
                                                               2,088          96      X     28-13605        96
                                                              21,750       1,000      X   X 28-13605      1000
OMNICARE INC                   COM            681904108       28,990         815      X   X 28-5284        815
                                                             296,263       8,329      X     28-13605      8329
                                                              23,121         650      X   X 28-13605       650
OMNICOM GROUP INC              COM            681919106    5,957,909     117,629      X     28-5284     112678                4951
                                                           7,850,953     155,004      X   X 28-5284     141690               13314
                                                             235,928       4,658      X     28-13605      1594                3064
                                                               5,065         100      X   X 28-13605       100
                                                              93,703       1,850      X     28-13663      1850
                                                              15,195         300      X   X 28-13663       300
OMEGA HEALTHCARE INVS INC      COM            681936100       18,794         884      X     28-5284        884
                                                               2,126         100      X   X 28-13605       100
OMEGA FLEX INC                 COM            682095104        1,905         150      X   X 28-5284        150
OMNIVISION TECHNOLOGIES INC    COM            682128103       17,020         851      X   X 28-5284        851
OMNICELL INC                   COM            68213N109       38,025       2,500      X   X 28-5284                           2500
ON ASSIGNMENT INC              COM            682159108        4,717         270      X     28-5284                            270
                                                              54,157       3,100      X   X 28-5284                           3100
ON SEMICONDUCTOR CORP          COM            682189105       10,055       1,116      X     28-5284                           1116
                                                              21,092       2,341      X   X 28-5284       2341
                                                                  45           5      X   X 28-13605         5
ONCOTHYREON INC                COM            682324108        2,468         566      X     28-5284        566
ONE LIBERTY PPTYS INC          COM            682406103       10,321         564      X     28-5284        564
                                                               3,660         200      X   X 28-5284        200
ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103    4,673,028      85,477      X     28-5284      85477
                                                           5,013,184      91,699      X   X 28-5284      88099                3600
                                                             128,475       2,350      X     28-13605      2350
                                                             183,254       3,352      X   X 28-13605      3352
                                                             101,140       1,850      X     28-13663      1850
                                                             765,380      14,000      X   X 28-13663     14000
               COLUMN TOTAL                               25,795,659






                                                                                                                   FILE NO. 28-1235
 PAGE   181 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ONEOK INC NEW                  COM            682680103      204,313       2,502      X     28-5284       1980                 522
                                                             398,991       4,886      X   X 28-5284       2931                1955
                                                             397,684       4,870      X     28-13605      3663                1207
                                                             351,138       4,300      X   X 28-13605      4300
                                                               5,145          63      X     28-13663                            63
ONLINE RES CORP                COM            68273G101        1,302         457      X     28-5284        457
ONYX PHARMACEUTICALS INC       COM            683399109       39,978       1,061      X     28-5284       1061
                                                               2,826          75      X   X 28-5284         75
OPEN TEXT CORP                 COM            683715106        2,752          45      X     28-5284         45
                                                               3,975          65      X   X 28-5284         65
                                                           1,958,221      32,018      X     28-13605     25628                6390
                                                              11,315         185      X   X 28-13605       185
OPKO HEALTH INC                COM            68375N103        7,095       1,500      X     28-5284       1500
OPNET TECHNOLOGIES INC         COM            683757108       15,196         524      X     28-5284        524
                                                               1,334          46      X   X 28-5284         46
ORACLE CORP                    COM            68389X105  107,360,209   3,681,763      X     28-5284    3582062               99701
                                                          54,204,766   1,858,874      X   X 28-5284    1745483              113391
                                                          26,935,034     923,698      X     28-13605    862851               60847
                                                           7,238,270     248,226      X   X 28-13605    237307       200     10719
                                                           1,139,077      39,063      X     28-13663     33929                5134
                                                             918,861      31,511      X   X 28-13663     31511
ORASURE TECHNOLOGIES INC       COM            68554V108       57,450       5,000      X     28-5284       5000
                                                             170,328      14,824      X     28-13605     14824
ORBITAL SCIENCES CORP          COM            685564106        3,945         300      X     28-5284        300
ORCHARD SUPPLY HARDWARE STOR   CL A           685691404          268          13      X     28-5284          3                  10
                                                                 351          17      X   X 28-5284         15                   2
                                                                 103           5      X     28-13605         5
                                                               1,652          80      X   X 28-13605        80
ORION ENERGY SYSTEMS INC       COM            686275108        2,380       1,000      X   X 28-5284                           1000
ORITANI FINL CORP DEL          COM            68633D103       14,680       1,000      X   X 28-5284                           1000
ORIX CORP                      SPONSORED ADR  686330101          193           4      X   X 28-5284          4
               COLUMN TOTAL                              201,448,832






                                                                                                                   FILE NO. 28-1235
 PAGE   182 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ORMAT TECHNOLOGIES INC         COM            686688102        3,627         180      X     28-5284        180
ORRSTOWN FINL SVCS INC         COM            687380105        4,385         500      X     28-5284        500
OSHKOSH CORP                   COM            688239201       81,118       3,501      X     28-5284       3352                 149
                                                             338,282      14,600      X   X 28-5284      14600
                                                           3,676,453     158,673      X     28-13605    158290                 383
                                                              90,154       3,891      X   X 28-13605      3891
OTTER TAIL CORP                COM            689648103       17,360         800      X     28-5284        800
OVERSEAS SHIPHOLDING GROUP I   COM            690368105        9,599         760      X   X 28-5284        760
OWENS & MINOR INC NEW          COM            690732102       63,861       2,100      X   X 28-5284                           2100
                                                               7,207         237      X     28-13663       237
OWENS CORNING NEW              COM            690742101        5,405         150      X     28-5284        150
                                                              10,809         300      X   X 28-5284        300
                                                               7,566         210      X     28-13605       210
OWENS ILL INC                  COM NEW        690768403      140,880       6,036      X     28-5284       5672                 364
                                                             542,842      23,258      X   X 28-5284      22986                 272
                                                              62,621       2,683      X     28-13605       844                1839
OXFORD INDS INC                COM            691497309        4,574          90      X     28-5284                             90
                                                              30,492         600      X   X 28-5284                            600
OXFORD RESOURCE PARTNERS LP    COM UNIT RP LP 691807101       14,450       1,700      X     28-5284       1700
                                                              12,750       1,500      X   X 28-5284       1500
PC-TEL INC                     COM            69325Q105          931         140      X     28-5284                            140
PDL BIOPHARMA INC              COM            69329Y104       48,972       7,700      X     28-5284       7700
PG&E CORP                      COM            69331C108      494,266      11,386      X     28-5284      10321                1065
                                                             113,734       2,620      X   X 28-5284       2108                 512
                                                           1,476,287      34,008      X     28-13605     29252                4756
                                                             112,171       2,584      X   X 28-13605      2584
PHH CORP                       COM NEW        693320202          774          50      X     28-13605        50
                                                               2,321         150      X   X 28-13605       150
               COLUMN TOTAL                                7,373,891






                                                                                                                   FILE NO. 28-1235
 PAGE   183 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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        6,718         170      X     28-5284                            170
                                                              11,856         300      X   X 28-5284                            300
PGT INC                        COM            69336V101    2,363,188   1,320,217      X     28-5284    1320217
PICO HLDGS INC                 COM NEW        693366205        3,236         138      X     28-5284                            138
PMC COML TR                    SH BEN INT     693434102        6,420         750      X     28-5284        750
PMC-SIERRA INC                 COM            69344F106          542          75      X     28-5284         75
PNC FINL SVCS GROUP INC        COM            693475105   67,574,492   1,047,829      X     28-5284    1037561               10268
                                                          70,523,104   1,093,551      X   X 28-5284     929123      2500    161928
                                                          10,990,902     170,428      X     28-13605    159926               10502
                                                           8,174,365     126,754      X   X 28-13605    126554                 200
                                                           2,974,601      46,125      X     28-13663     46125
                                                             174,445       2,705      X   X 28-13663      2326                 379
POSCO                          SPONSORED ADR  693483109       41,013         490      X     28-5284        490
                                                              66,625         796      X   X 28-5284        796
PPG INDS INC                   COM            693506107   57,958,713     604,997      X     28-5284     594882               10115
                                                          53,513,593     558,597      X   X 28-5284     546393               12204
                                                           3,410,959      35,605      X     28-13605     33857                1748
                                                           1,960,930      20,469      X   X 28-13605     18169                2300
                                                             422,574       4,411      X     28-13663      4185                 226
                                                           1,121,531      11,707      X   X 28-13663     11707
PPL CORP                       COM            69351T106   10,252,700     362,799      X     28-5284     349518               13281
                                                          10,969,402     388,160      X   X 28-5284     375290               12870
                                                             440,065      15,572      X     28-13605      8797                6775
                                                             427,602      15,131      X   X 28-13605     14931                 200
                                                               6,443         228      X     28-13663                           228
PPL CORP                       UNIT 99/99/999 69351T114        3,225          60      X     28-5284         60
PS BUSINESS PKS INC CALIF      COM            69360J107       37,096         566      X     28-5284        566
PVH CORP                       COM            693656100    1,160,307      12,989      X     28-5284      12689                 300
                                                             650,412       7,281      X   X 28-5284       6997                 284
                                                           4,211,731      47,148      X     28-13605     46769                 379
                                                             668,188       7,480      X   X 28-13605      7450        30
               COLUMN TOTAL                              310,126,978






                                                                                                                   FILE NO. 28-1235
 PAGE   184 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PSS WORLD MED INC              COM            69366A100       13,227         522      X   X 28-5284        522
                                                               4,054         160      X     28-13605       160
PACCAR INC                     COM            693718108      331,088       7,070      X     28-5284       6542                 528
                                                              74,928       1,600      X   X 28-5284       1600
                                                             239,020       5,104      X     28-13605      1126                3978
                                                               7,446         159      X     28-13663                           159
PACHOLDER HIGH YIELD FD INC    COM            693742108       23,120       2,566      X     28-5284       2566
PACIFIC ETHANOL INC            COM NEW        69423U206            3           3      X     28-5284          3
PACKAGING CORP AMER            COM            695156109      111,466       3,767      X     28-5284        188                3579
                                                             177,599       6,002      X   X 28-5284       6002
PALL CORP                      COM            696429307      523,969       8,787      X     28-5284       7698                1089
                                                             550,683       9,235      X   X 28-5284       9159                  76
                                                             270,482       4,536      X     28-13605      3228                1308
                                                              51,282         860      X   X 28-13605       860
                                                              17,889         300      X     28-13663       300
                                                              59,630       1,000      X   X 28-13663      1000
PAN AMERICAN SILVER CORP       COM            697900108        7,236         328      X     28-5284        328
                                                              27,862       1,263      X   X 28-5284       1263
PANASONIC CORP                 ADR            69832A205       71,493       7,729      X     28-5284                           7729
                                                              99,003      10,703      X   X 28-5284         16               10687
PANDORA MEDIA INC              COM            698354107      180,084      17,638      X     28-5284      17638
PANERA BREAD CO                CL A           69840W108      308,966       1,920      X     28-5284       1920
                                                             120,368         748      X   X 28-5284        723                  25
                                                             252,001       1,566      X     28-13605      1566
                                                             100,575         625      X   X 28-13605       625
PANHANDLE OIL AND GAS INC      CL A           698477106       56,012       1,900      X   X 28-5284                           1900
PANTRY INC                     COM            698657103        8,313         639      X     28-5284        639
PAPA JOHNS INTL INC            COM            698813102       55,737       1,480      X     28-5284       1480
                                                             387,634      10,293      X     28-13605     10293
PARAGON SHIPPING INC           CL A           69913R309        2,050       2,500      X   X 28-5284       2500
               COLUMN TOTAL                                4,133,220






                                                                                                                   FILE NO. 28-1235
 PAGE   185 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PARAMETRIC TECHNOLOGY CORP     COM NEW        699173209        2,794         100      X     28-5284        100
PAREXEL INTL CORP              COM            699462107       25,433         943      X     28-5284        553                 390
                                                              15,184         563      X   X 28-5284        563
                                                           2,280,475      84,556      X     28-13605     68086               16470
                                                              12,811         475      X   X 28-13605       475
PARK ELECTROCHEMICAL CORP      COM            700416209        4,535         150      X     28-5284                            150
                                                              27,207         900      X   X 28-5284                            900
PARK NATL CORP                 COM            700658107       13,834         200      X     28-5284        200
PARK OHIO HLDGS CORP           COM            700666100      347,326      17,323      X     28-13605     17323
PARKE BANCORP INC              COM            700885106        1,963         278      X     28-5284        278
                                                             183,609      26,007      X   X 28-5284      26007
PARKER DRILLING CO             COM            701081101        1,791         300      X   X 28-5284        300
PARKER HANNIFIN CORP           COM            701094104    4,470,159      52,870      X     28-5284      43380                9490
                                                          13,316,625     157,500      X   X 28-5284     155708                1792
                                                             849,643      10,049      X     28-13605      8325                1724
                                                              94,273       1,115      X   X 28-13605      1115
                                                              23,420         277      X     28-13663       175                 102
                                                              16,910         200      X   X 28-13663       200
PARKWAY PPTYS INC              COM            70159Q104        6,812         650      X   X 28-5284                            650
PATRICK INDS INC               COM            703343103       26,123       2,150      X     28-5284       2150
PATRIOT COAL CORP              COM            70336T104       19,531       3,130      X     28-5284       3130
                                                              62,587      10,030      X   X 28-5284      10030
                                                               5,928         950      X   X 28-13605       950
PATTERSON COMPANIES INC        COM            703395103      178,924       5,357      X     28-5284       4981                 376
                                                           1,074,879      32,182      X   X 28-5284      32182
                                                             137,909       4,129      X     28-13605      3162                 967
PATTERSON UTI ENERGY INC       COM            703481101       22,875       1,323      X     28-5284        543                 780
                                                              25,382       1,468      X   X 28-5284        968                 500
                                                               2,403         139      X     28-13605       139
               COLUMN TOTAL                               23,251,345






                                                                                                                   FILE NO. 28-1235
 PAGE   186 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PAYCHEX INC                    COM            704326107      836,513      26,993      X     28-5284      12313               14680
                                                           1,627,719      52,524      X   X 28-5284      31768               20756
                                                             144,847       4,674      X     28-13605       992                3682
                                                             108,062       3,487      X   X 28-13605      3487
                                                               1,209          39      X     28-13663                            39
                                                               5,268         170      X   X 28-13663       170
PEABODY ENERGY CORP            SDCV  4.750%12 704549AG9      760,000       8,000      X     28-5284       8000
PEABODY ENERGY CORP            COM            704549104      803,582      27,748      X     28-5284      26812                 936
                                                             587,454      20,285      X   X 28-5284      19832                 453
                                                             190,557       6,580      X     28-13605      3490                3090
                                                             194,032       6,700      X   X 28-13605      6575                 125
                                                              12,858         444      X     28-13663       400                  44
                                                              20,011         691      X   X 28-13663                           691
PEAPACK-GLADSTONE FINL CORP    COM            704699107       16,359       1,210      X   X 28-5284                           1210
PEARSON PLC                    SPONSORED ADR  705015105       40,104       2,140      X     28-5284       2000                 140
                                                              18,665         996      X   X 28-5284        675                 321
PEBBLEBROOK HOTEL TR           COM            70509V100        2,145          95      X     28-5284         95
PENDRELL CORP                  COM            70686R104        4,528       1,735      X     28-5284       1735
PENGROWTH ENERGY CORP          COM            70706P104      185,904      19,777      X     28-5284      19777
                                                              50,826       5,407      X   X 28-5284       5407
                                                              11,280       1,200      X     28-13605      1200
PENN NATL GAMING INC           COM            707569109       47,278       1,100      X     28-5284       1100
                                                             167,923       3,907      X   X 28-5284        407                3500
                                                           1,629,501      37,913      X     28-13605     31143                6770
                                                             112,135       2,609      X   X 28-13605      2609
PENN VA CORP                   COM            707882106       68,250      15,000      X   X 28-5284                          15000
PENN VA RESOURCES PARTNERS L   COM            707884102      111,551       5,110      X     28-5284       5110
                                                             597,596      27,375      X   X 28-5284      25385                1990
                                                               4,366         200      X   X 28-13605       200
               COLUMN TOTAL                                8,360,523






                                                                                                                   FILE NO. 28-1235
 PAGE   187 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PENN WEST PETE LTD NEW         COM            707887105      206,718      10,563      X     28-5284      10563
                                                             178,126       9,102      X   X 28-5284       9102
                                                              13,699         700      X     28-13605       700
                                                               3,914         200      X   X 28-13605       200
PENNEY J C INC                 COM            708160106      384,982      10,866      X     28-5284       7417                3449
                                                             649,786      18,340      X   X 28-5284       8140               10200
                                                             252,084       7,115      X     28-13605      5429                1686
                                                             199,790       5,639      X   X 28-13605      5639
PENNS WOODS BANCORP INC        COM            708430103        8,176         200      X     28-5284        200
                                                              29,434         720      X   X 28-5284                            720
PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107      155,388      10,176      X     28-5284      10176
                                                              80,900       5,298      X   X 28-5284       5298
PENNYMAC MTG INVT TR           COM            70931T103       10,530         564      X   X 28-5284        564
PENTAIR INC                    COM            709631105      423,729       8,900      X     28-5284       8900
                                                           1,609,980      33,816      X   X 28-5284      33816
                                                             576,081      12,100      X     28-13605     12100
PEOPLES UNITED FINANCIAL INC   COM            712704105      164,078      12,402      X     28-5284        873               11529
                                                              88,337       6,677      X   X 28-5284       5782                 895
                                                              79,922       6,041      X     28-13605      2137                3904
                                                               2,818         213      X   X 28-13605       213
                                                                 291          22      X     28-13663                            22
PEP BOYS MANNY MOE & JACK      COM            713278109        5,222         350      X     28-5284                            350
PEPCO HOLDINGS INC             COM            713291102      646,548      34,227      X     28-5284      22357               11870
                                                             334,863      17,727      X   X 28-5284      17593                 134
                                                             124,391       6,585      X     28-13605      3713                2872
                                                             381,389      20,190      X   X 28-13605     20190
PEPSICO INC                    COM            713448108  166,544,339   2,510,088      X     28-5284    2477130               32958
                                                         138,259,267   2,083,787      X   X 28-5284    1950434              133353
                                                          21,557,911     324,912      X     28-13605    302948               21964
                                                          10,871,846     163,856      X   X 28-13605    148872               14984
                                                           1,345,843      20,284      X     28-13663     17103                3181
                                                           1,520,278      22,913      X   X 28-13663     22913
PERFECT WORLD CO LTD           SPON ADR REP B 71372U104      220,161      13,607      X     28-13605     13607
               COLUMN TOTAL                              346,930,821






                                                                                                                   FILE NO. 28-1235
 PAGE   188 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PERICOM SEMICONDUCTOR CORP     COM            713831105        1,861         230      X     28-5284                            230
PERKINELMER INC                COM            714046109      220,948       7,988      X     28-5284       7668                 320
                                                             146,709       5,304      X   X 28-5284       3004                2300
                                                              45,916       1,660      X     28-13605       346                1314
                                                                 747          27      X     28-13663                            27
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        6,861         300      X     28-5284        300
                                                              68,610       3,000      X   X 28-5284       3000
                                                             129,376       5,657      X     28-13605      5657
PERRIGO CO                     COM            714290103    1,203,562      11,650      X     28-5284       3904                7746
                                                             756,333       7,321      X   X 28-5284        648                6673
                                                              85,644         829      X     28-13605       829
                                                              48,039         465      X     28-13663                           465
P T TELEKOMUNIKASI INDONESIA   SPONSORED ADR  715684106       48,151       1,586      X     28-5284                           1586
                                                              72,591       2,391      X   X 28-5284         11                2380
PETROCHINA CO LTD              SPONSORED  ADR 71646E100      269,818       1,920      X     28-5284       1920
                                                             203,769       1,450      X   X 28-5284       1450
PETROBRAS ARGENTINA S A        SPONS ADR      71646J109        1,077          80      X     28-5284         80
                                                               2,692         200      X   X 28-5284        200
PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101      148,350       5,804      X     28-5284       5804
                                                               2,505          98      X   X 28-5284         98
                                                               1,687          66      X     28-13605        66
                                                              15,336         600      X     28-13663       600
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      234,604       8,833      X     28-5284       8833
                                                              84,461       3,180      X   X 28-5284       3180
                                                               5,312         200      X     28-13605       200
                                                              17,928         675      X   X 28-13605       675
PETROLEUM & RES CORP           COM            716549100       79,036       3,041      X     28-5284       3041
                                                               5,536         213      X     28-13605       213
                                                              42,987       1,654      X   X 28-13605      1654
PETSMART INC                   COM            716768106      119,304       2,085      X     28-5284       2085
                                                             526,424       9,200      X   X 28-5284       5650                3550
                                                              74,386       1,300      X     28-13605      1300
                                                              20,027         350      X   X 28-13605       350
               COLUMN TOTAL                                4,690,587






                                                                                                                   FILE NO. 28-1235
 PAGE   189 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PFIZER INC                     COM            717081103  169,111,524   7,467,941      X     28-5284    7290737              177204
                                                         131,158,187   5,791,927      X   X 28-5284    5599537              192390
                                                          70,052,987   3,093,530      X     28-13605   2777971              315559
                                                          24,267,016   1,071,628      X   X 28-13605   1047900       505     23223
                                                           2,207,004      97,461      X     28-13663     95318                2143
                                                           1,466,490      64,760      X   X 28-13663     64760
PHARMERICA CORP                COM            71714F104       10,764         866      X     28-5284        866
                                                             202,833      16,318      X     28-13605     16318
PHILIP MORRIS INTL INC         COM            718172109  231,954,308   2,617,699      X     28-5284    2600590               17109
                                                         170,265,267   1,921,513      X   X 28-5284    1882278               39235
                                                          33,782,740     381,252      X     28-13605    323129               58123
                                                          13,180,294     148,745      X   X 28-13605    146128       117      2500
                                                             757,261       8,546      X     28-13663      8117                 429
                                                           2,246,707      25,355      X   X 28-13663     25355
PHOENIX COS INC NEW            COM            71902E109          760         310      X   X 28-5284        310
PHOTRONICS INC                 COM            719405102       74,254      11,166      X     28-13605     11166
PIEDMONT NAT GAS INC           COM            720186105      131,581       4,235      X     28-5284       3755                 480
                                                              74,568       2,400      X   X 28-5284        300                2100
                                                             157,245       5,061      X     28-13605      5061
                                                              31,070       1,000      X   X 28-13605      1000
PIEDMONT OFFICE REALTY TR IN   COM CL A       720190206    1,092,051      61,524      X     28-5284      61524
                                                               5,307         299      X   X 28-5284        299
PIER 1 IMPORTS INC             COM            720279108        4,091         225      X     28-13605       225
PIMCO CORPORATE INCOME STRAT   COM            72200U100       25,103       1,565      X     28-5284       1565
                                                              91,428       5,700      X   X 28-5284       5700
PIMCO MUN INCOME FD II         COM            72200W106      355,595      29,195      X     28-5284      29195
                                                              42,861       3,519      X   X 28-5284       3519
                                                              16,236       1,333      X   X 28-13605      1333
PIMCO STRATEGIC GBL GOV FD I   COM            72200X104       57,512       5,200      X     28-5284       5200
PIMCO MUN INCOME FD III        COM            72201A103       23,600       2,000      X     28-5284       2000
                                                             177,236      15,020      X   X 28-5284      15020
               COLUMN TOTAL                              853,023,880






                                                                                                                   FILE NO. 28-1235
 PAGE   190 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PIMCO CORPORATE & INCOME OPP   COM            72201B101       71,090       3,820      X     28-5284       3820
                                                              39,081       2,100      X   X 28-5284       2100
                                                              93,050       5,000      X   X 28-13663      5000
PIMCO CALIF MUN INCOME FD II   COM            72201C109      104,000      10,000      X   X 28-13663                         10000
PIMCO INCOME STRATEGY FUND     COM            72201H108      432,907      38,108      X     28-5284        500               37608
                                                              68,160       6,000      X   X 28-5284       6000
PIMCO INCOME STRATEGY FUND I   COM            72201J104        5,080         500      X     28-5284        500
PIMCO ETF TR                   TOTL RETN ETF  72201R775       70,422         693      X     28-5284        693
PIMCO ETF TR                   BLD AMER BD FD 72201R825      108,892       2,000      X   X 28-5284                           2000
PIMCO GLOBAL STOCKSPLS INCM    COM            722011103        2,018         100      X   X 28-5284        100
PIMCO HIGH INCOME FD           COM SHS        722014107    2,102,884     163,776      X     28-5284     133081               30695
                                                              55,854       4,350      X   X 28-5284       4350
PINNACLE ENTMT INC             COM            723456109        7,907         687      X     28-5284        687
                                                              10,140         881      X   X 28-5284        881
PINNACLE WEST CAP CORP         COM            723484101      107,919       2,253      X     28-5284       2020                 233
                                                             280,742       5,861      X   X 28-5284       5781                  80
                                                              79,083       1,651      X     28-13605       350                1301
                                                              39,278         820      X   X 28-13605       820
                                                               1,293          27      X     28-13663                            27
PIONEER DIV HIGH INCOME TRUS   COM BENE INTER 723653101        9,264         450      X     28-5284        450
PIONEER MUN HIGH INCOME ADV    COM            723762100       11,040         750      X     28-5284        750
PIONEER MUN HIGH INCOME TR     COM SHS        723763108       64,252       4,362      X     28-5284       4362
PIONEER NAT RES CO             COM            723787107      143,728       1,288      X     28-5284        192                1096
                                                           1,525,547      13,671      X   X 28-5284       8459                5212
                                                             202,313       1,813      X     28-13605       383                1430
                                                               4,240          38      X     28-13663                            38
PIONEER SOUTHWST ENRG PRTNR    UNIT LP INT    72388B106      122,912       4,600      X     28-5284       4600
                                                             459,584      17,200      X   X 28-5284      17200
               COLUMN TOTAL                                6,222,680






                                                                                                                   FILE NO. 28-1235
 PAGE   191 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PIPER JAFFRAY COS              COM            724078100        5,590         210      X     28-5284        210
                                                              20,098         755      X   X 28-5284        755
PITNEY BOWES INC               COM            724479100    4,245,922     241,520      X     28-5284     215820               25700
                                                           5,084,154     289,201      X   X 28-5284     288151                1050
                                                              52,986       3,014      X     28-13605       716                2298
                                                              97,903       5,569      X   X 28-13605      5569
PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105   12,393,060     157,974      X     28-5284     157274                 700
                                                          12,643,237     161,163      X   X 28-5284     158577                2586
                                                           1,280,539      16,323      X     28-13605     16323
                                                             299,679       3,820      X   X 28-13605      3320                 500
                                                             160,823       2,050      X     28-13663      2050
PLAINS EXPL& PRODTN CO         COM            726505100       14,458         339      X     28-5284        339
                                                              32,798         769      X   X 28-5284        769
                                                             179,855       4,217      X     28-13605      4217
PLANTRONICS INC NEW            COM            727493108       82,211       2,042      X     28-5284       2042
                                                              10,387         258      X   X 28-5284        258
                                                               2,375          59      X     28-13605        59
PLEXUS CORP                    COM            729132100       78,483       2,243      X     28-5284       2243
PLUG POWER INC                 COM NEW        72919P202          223         170      X   X 28-5284        170
PLUM CREEK TIMBER CO INC       COM            729251108      765,868      18,428      X     28-5284      15597                2831
                                                           3,067,170      73,801      X   X 28-5284      47631               26170
                                                             115,412       2,777      X     28-13605       994                1783
                                                             220,933       5,316      X   X 28-13605      5316
                                                               1,122          27      X     28-13663                            27
                                                              83,120       2,000      X   X 28-13663      2000
POLARIS INDS INC               COM            731068102    2,025,900      28,079      X     28-5284      27399                 680
                                                             217,027       3,008      X   X 28-5284       2748                 260
                                                           4,611,756      63,919      X     28-13605     63391                 528
                                                             762,770      10,572      X   X 28-13605     10530        42
POLYCOM INC                    COM            73172K104       55,227       2,896      X     28-5284       2896
                                                              35,318       1,852      X   X 28-5284       1852
POLYONE CORP                   COM            73179P106        8,784         610      X     28-5284                            610
                                                             178,358      12,386      X     28-13605     12386
               COLUMN TOTAL                               48,833,546






                                                                                                                   FILE NO. 28-1235
 PAGE   192 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POLYPORE INTL INC              COM            73179V103        7,770         221      X     28-5284        221
                                                             411,935      11,716      X   X 28-5284      11716
                                                              79,813       2,270      X     28-13605      2270
POOL CORPORATION               COM            73278L105       64,400       1,721      X   X 28-5284                           1721
POPULAR INC                    COM            733174106       13,940       6,800      X     28-5284       6800
PORTFOLIO RECOVERY ASSOCS IN   COM            73640Q105       16,424         229      X   X 28-5284        229
                                                           3,562,548      49,673      X     28-13605     42617                7056
                                                              18,360         256      X   X 28-13605       256
PORTLAND GEN ELEC CO           COM NEW        736508847      132,919       5,321      X     28-13605      5321
POST HLDGS INC                 COM            737446104        7,146         217      X     28-5284        217
                                                              33,918       1,030      X   X 28-5284       1030
                                                               2,042          62      X     28-13605        62
                                                               1,647          50      X   X 28-13605        50
                                                               3,293         100      X     28-13663       100
POTASH CORP SASK INC           COM            73755L107    2,107,223      46,120      X     28-5284      44556                1564
                                                           1,791,962      39,220      X   X 28-5284      16139               23081
                                                             307,220       6,724      X     28-13605      6124                 600
                                                             400,519       8,766      X   X 28-13605      8766
POTLATCH CORP NEW              COM            737630103      100,037       3,192      X     28-5284       3192
                                                              18,804         600      X   X 28-5284                            600
POWER INTEGRATIONS INC         COM            739276103        3,341          90      X     28-13605        90
POWER ONE INC NEW              COM            73930R102       47,093      10,350      X     28-5284      10350
POWERSHARES QQQ TRUST          UNIT SER 1     73935A104   17,610,420     260,702      X     28-5284     260702
                                                           5,207,092      77,085      X   X 28-5284      76635                 450
                                                           2,580,140      38,196      X     28-13605     38196
                                                           1,904,842      28,199      X   X 28-13605     28199
                                                              80,182       1,187      X   X 28-13663      1187
POWERSHARES ACTIVE MNG ETF T   US REAL EST FD 73935B508      118,121       2,150      X   X 28-5284       2150
POWERSHARES DB CMDTY IDX TRA   UNIT BEN INT   73935S105    3,080,534     106,963      X     28-5284     106963
                                                             995,674      34,572      X   X 28-5284      34272                 300
                                                              54,720       1,900      X   X 28-13605      1900
               COLUMN TOTAL                               40,764,079






                                                                                                                   FILE NO. 28-1235
 PAGE   193 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POWERSHARES ETF TRUST          WILDERHILL PRO 73935X161       16,147         615      X   X 28-5284        615
POWERSHARES ETF TRUST          FINL PFD PTFL  73935X229      402,822      22,504      X     28-5284      22504
                                                              89,500       5,000      X   X 28-5284       5000
POWERSHARES ETF TRUST          CLEANTECH PORT 73935X278        7,163         300      X     28-5284        300
POWERSHARES ETF TRUST          BNKING SEC POR 73935X336      540,149      40,011      X   X 28-5284      40011
POWERSHARES ETF TRUST          BASIC MAT SECT 73935X427       50,276       1,322      X   X 28-5284       1322
POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500        5,560       1,000      X     28-5284       1000
                                                              25,026       4,501      X   X 28-5284       4501
POWERSHARES ETF TRUST          WATER RESOURCE 73935X575    1,235,942      64,372      X     28-5284      64372
                                                              44,160       2,300      X   X 28-5284       2300
POWERSHARES ETF TRUST          FTSE RAFI 1000 73935X583    5,085,267      84,054      X     28-5284      75307                8747
                                                           3,696,671      61,102      X   X 28-5284      61102
                                                             337,106       5,572      X     28-13663      5572
                                                             817,113      13,506      X   X 28-13663     13506
POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609       19,950       1,072      X   X 28-5284       1072
POWERSHARES ETF TRUST          LX NANOTCH PTF 73935X633          655         100      X   X 28-13605       100
POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716       15,360       1,000      X   X 28-5284                           1000
POWERSHARES ETF TRUST          DYN PHRMA PORT 73935X799       12,572         400      X   X 28-5284        400
POWERSHARES ETF TRUST          FND PR MIDGRT  73935X807       19,023         829      X   X 28-5284        829
POWERSHARES ETF TRUST          FND PUR SMGRT  73935X872       19,927       1,112      X   X 28-5284       1112
POWERSHS DB MULTI SECT COMM    DB ENERGY FUND 73936B101      688,085      22,898      X     28-5284      22898
                                                              64,608       2,150      X   X 28-5284       2150
                                                               4,838         161      X     28-13663       161
POWERSHS DB MULTI SECT COMM    DB PREC MTLS   73936B200       94,086       1,613      X     28-5284       1613
POWERSHS DB MULTI SECT COMM    DB SILVER FUND 73936B309       28,120         500      X     28-5284        500
               COLUMN TOTAL                               13,320,126






                                                                                                                   FILE NO. 28-1235
 PAGE   194 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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   10,955,347     389,870      X     28-5284     389870
                                                           1,495,988      53,238      X   X 28-5284      53138                 100
                                                           1,048,552      37,315      X     28-13605     37315
                                                             217,438       7,738      X   X 28-13605      6738                1000
                                                             191,277       6,807      X     28-13663      6807
                                                              42,150       1,500      X   X 28-13663      1500
POWERSHS DB MULTI SECT COMM    DB OIL FUND    73936B507        1,496          50      X   X 28-5284         50
POWERSHS DB MULTI SECT COMM    DB BASE METALS 73936B705      103,825       5,168      X     28-5284       5168
POWERSHS DB US DOLLAR INDEX    DOLL INDX BULL 73936D107       39,438       1,800      X     28-5284       1800
POWERSHS DB US DOLLAR INDEX    DOLL INDX BEAR 73936D206        8,229         300      X     28-5284        300
POWERSECURE INTL INC           COM            73936N105       30,906       5,100      X   X 28-5284                           5100
POWERSHARES ETF TRUST II       MENA FRNTR ETF 73936Q603       73,645       6,500      X   X 28-5284       6500
POWERSHARES ETF TRUST II       CEF INC COMPST 73936Q843       24,970       1,000      X   X 28-5284       1000
POWERSHARES ETF TRUST II       GLOB GLD&P ETF 73936Q876       19,850         500      X     28-5284        500
POWERSHARES GLOBAL ETF TRUST   AGG PFD PORT   73936T565       86,852       6,044      X     28-5284       6044
POWERSHARES GLOBAL ETF TRUST   SOVEREIGN DEBT 73936T573       18,213         650      X     28-5284        650
                                                              95,268       3,400      X   X 28-5284       3400
POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T615        6,743         750      X     28-13605       750
POWERSHARES GLOBAL ETF TRUST   GBL WTR PORT   73936T623        4,073         225      X     28-5284        225
                                                              16,290         900      X   X 28-5284        900
                                                               1,810         100      X     28-13605       100
POWERSHARES ETF TR II          GLB NUCLR ENRG 73937B100        1,703         100      X     28-5284        100
POWERSHARES ETF TR II          BUILD AMER ETF 73937B407   15,586,331     536,350      X     28-5284     508897               27453
                                                           3,644,734     125,421      X   X 28-5284     118578                6843
                                                             178,574       6,145      X     28-13663      6145
POWERSHARES ETF TR II          S&P SMCP ENE P 73937B704        3,725         100      X   X 28-5284        100
POWERSHARES ETF TR II          S&P500 HGH BET 73937B829       19,710         900      X     28-5284        900
               COLUMN TOTAL                               33,917,137






                                                                                                                   FILE NO. 28-1235
 PAGE   195 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
POZEN INC                      COM            73941U102        4,200         700      X     28-5284        700
PRAXAIR INC                    COM            74005P104   42,862,979     373,892      X     28-5284     346004               27888
                                                          27,424,295     239,221      X   X 28-5284     203457               35764
                                                           1,841,004      16,059      X     28-13605     12506                3553
                                                             691,165       6,029      X   X 28-13605      5858                 171
                                                             651,155       5,680      X     28-13663      3476                2204
                                                             333,144       2,906      X   X 28-13663      2906
PRECISION CASTPARTS CORP       COM            740189105    2,298,014      13,291      X     28-5284      12915                 376
                                                           1,749,921      10,121      X   X 28-5284       9537                 584
                                                             696,787       4,030      X     28-13605      2379                1651
                                                             172,036         995      X   X 28-13605       995
                                                               9,164          53      X     28-13663                            53
PRECISION DRILLING CORP        COM 2010       74022D308      419,284      41,803      X     28-5284       2468               39335
                                                              57,000       5,683      X   X 28-5284                           5683
                                                               1,204         120      X   X 28-13605       120
                                                              14,383       1,434      X     28-13663                          1434
PRESIDENTIAL LIFE CORP         COM            740884101        2,172         190      X     28-5284                            190
PRESTIGE BRANDS HLDGS INC      COM            74112D101      415,500      23,770      X     28-13605     23770
                                                              13,110         750      X   X 28-13605       750
PRICE T ROWE GROUP INC         COM            74144T108   54,267,239     831,045      X     28-5284     821961                9084
                                                          48,145,821     737,302      X   X 28-5284     719459               17843
                                                          29,941,813     458,527      X     28-13605    447562               10965
                                                           9,881,653     151,327      X   X 28-13605    146136        81      5110
                                                             516,588       7,911      X     28-13663      7539                 372
                                                             282,749       4,330      X   X 28-13663      4330
PRICELINE COM INC              COM NEW        741503403    6,989,885       9,742      X     28-5284       7911                1831
                                                           2,799,685       3,902      X   X 28-5284       2020                1882
                                                             588,350         820      X     28-13605       253                 567
                                                              41,615          58      X   X 28-13605        23                  35
                                                             333,638         465      X     28-13663       350                 115
                                                             552,475         770      X   X 28-13663       770
PRICESMART INC                 COM            741511109      132,878       1,825      X     28-13605      1825
               COLUMN TOTAL                              234,130,906






                                                                                                                   FILE NO. 28-1235
 PAGE   196 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PRINCIPAL FINL GROUP INC       COM            74251V102      649,309      22,003      X     28-5284      20334                1669
                                                             757,079      25,655      X   X 28-5284      25541                 114
                                                             120,666       4,089      X     28-13605       857                3232
PROASSURANCE CORP              COM            74267C106        5,639          64      X     28-13605        64
PROCERA NETWORKS INC           COM NEW        74269U203       14,758         660      X     28-5284        660
                                                               7,826         350      X   X 28-5284        350
PROCTER & GAMBLE CO            COM            742718109  503,965,784   7,498,375      X     28-5284    7429172               69203
                                                         309,385,575   4,603,267      X   X 28-5284    3880597              722670
                                                          70,527,015   1,049,353      X     28-13605    965686               83667
                                                          38,478,263     572,508      X   X 28-13605    550213       118     22177
                                                           3,111,016      46,288      X     28-13663     43551                2737
                                                           1,864,674      27,744      X   X 28-13663     27744
PROGENICS PHARMACEUTICALS IN   COM            743187106        3,841         388      X     28-5284        388
                                                                 990         100      X   X 28-5284        100
PROGRESS ENERGY INC            COM            743263105    1,913,447      36,028      X     28-5284      35670                 358
                                                           1,179,201      22,203      X   X 28-5284      21045                1158
                                                             474,113       8,927      X     28-13605      5493                3434
                                                             605,720      11,405      X   X 28-13605     11330                  75
                                                              20,288         382      X     28-13663       357                  25
                                                             204,102       3,843      X   X 28-13663      3843
PROGRESS SOFTWARE CORP         COM            743312100       24,234       1,026      X     28-5284        601                 425
                                                              47,240       2,000      X   X 28-5284                           2000
PROGRESSIVE CORP OHIO          COM            743315103    2,330,981     100,560      X     28-5284      58543               42017
                                                           1,935,321      83,491      X   X 28-5284      37592               45899
                                                             197,586       8,524      X     28-13605      1804                6720
                                                             111,844       4,825      X     28-13663                          4825
PROGRESSIVE WASTE SOLUTIONS    COM            74339G101       75,446       3,480      X   X 28-5284                           3480
PROLOGIS INC                   COM            74340W103      271,087       7,526      X     28-5284       3722                3804
                                                             218,533       6,067      X   X 28-5284       5548                 519
                                                             234,274       6,504      X     28-13605      1381                5123
                                                                  72           2      X   X 28-13605         2
                                                               7,708         214      X     28-13663                           214
PROLOGIS                       NOTE  2.625% 5 74340XAS0      199,750       2,000      X   X 28-5284       2000
               COLUMN TOTAL                              938,943,382






                                                                                                                   FILE NO. 28-1235
 PAGE   197 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PROPHASE LABS INC              COM            74345W108       18,800      20,000      X     28-5284      20000
                                                              18,800      20,000      X   X 28-5284      20000
PROS HOLDINGS INC              COM            74346Y103        1,945         104      X     28-13605       104
PROSHARES TR                   PSHS ULT S&P 5 74347R107       29,181         500      X   X 28-5284        500
PROSHARES TR                   PSHS ULTRA QQQ 74347R206        4,758          40      X     28-5284         40
PROSHARES TR                   PSHS ULTSH 20Y 74347R297      774,135      37,855      X     28-5284      36255                1600
                                                               8,180         400      X   X 28-5284        400
PROSHARES TR                   PSHS ULSHT 7-1 74347R313      884,977      28,175      X     28-5284      28175
PROSHARES TR                   PSHS SHRT S&P5 74347R503      259,475       7,256      X     28-5284       7256
PROSHARES TR                   PSHS ULT1000 V 74347R529       33,090       1,000      X     28-5284       1000
PROSHARES TR                   PSHS ULTRA UTI 74347R685       16,002         300      X     28-5284        300
PROSHARES TR                   PSHS ULT HLTHC 74347R735       21,930         300      X     28-5284        300
PROSHARES TR                   PSHS CONSMRGOO 74347R768       27,757         300      X     28-5284        300
PROSHARES TR                   PSHS ULT BASMA 74347R776       11,487         300      X   X 28-5284        300
PROSHARES TR                   PSHS SH MDCAP4 74347R800       15,352         569      X     28-5284        569
PROSHARES TR                   PSHS SHTRUSS20 74347R826       13,843         531      X     28-5284        531
PROSHARES TR                   PSHS ULTASH DW 74347R867       19,215       1,500      X     28-5284       1500
                                                              89,670       7,000      X   X 28-5284       7000
PROSHARES TR                   PSHS ULSHT SP5 74347R883       13,581         900      X     28-5284        900
                                                             210,128      13,925      X   X 28-5284      13925
PROSHARES TR II                ULTRA GOLD     74347W601        8,840         100      X     28-5284        100
PROSHARES TR II                SHRT SILV NEW  74347W643       52,750       5,000      X     28-5284       5000
PROSHARES TR II                ULTRASHRT NEW  74347W718       67,240       4,000      X     28-5284       4000
PROSHARES TR II                ULTRA SILVER   74347W841       61,540       1,130      X     28-5284       1130
               COLUMN TOTAL                                2,662,676






                                                                                                                   FILE NO. 28-1235
 PAGE   198 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PROSHARES TR II                ULTRASHRT EURO 74347W882       39,837       2,100      X     28-5284       2100
                                                               4,743         250      X   X 28-5284        250
PROSHARES TR                   PSHS ULTSHRT Q 74347X237       81,756       2,700      X   X 28-5284       2700
PROSHARES TR                   ULTSHT CHINA 2 74347X567      104,360       4,000      X     28-5284       4000
PROSHARES TR                   ULTRA FNCLS NE 74347X633       26,259         418      X   X 28-5284        418
PROSHARES TR                   ULT SHR S&P500 74347X856      445,417      49,163      X     28-5284      49163
PROSPECT CAPITAL CORPORATION   COM            74348T102        5,490         500      X     28-5284        500
PROSPERITY BANCSHARES INC      COM            743606105      325,043       7,097      X     28-5284       2100                4997
                                                              44,426         970      X   X 28-5284                            970
                                                           2,078,862      45,390      X     28-13605     38701                6689
                                                               8,748         191      X   X 28-13605       191
PROTECTIVE LIFE CORP           COM            743674103       74,346       2,510      X     28-5284       2510
                                                              13,744         464      X   X 28-5284        464
                                                             254,939       8,607      X     28-13605      8607
                                                               3,703         125      X   X 28-13605       125
PROVIDENT FINL SVCS INC        COM            74386T105      114,206       7,860      X   X 28-5284       5660                2200
PROVIDENT ENERGY LTD NEW       COM            74386V100      275,712      22,976      X     28-5284      22976
                                                              94,800       7,900      X   X 28-5284       7900
                                                              45,000       3,750      X     28-13605      3750
                                                              56,100       4,675      X   X 28-13605      4675
PROVIDENT NEW YORK BANCORP     COM            744028101       39,762       4,700      X   X 28-5284                           4700
PRUDENTIAL FINL INC            COM            744320102    4,331,946      68,338      X     28-5284      63814                4524
                                                           1,051,767      16,592      X   X 28-5284      13808                2784
                                                           3,305,091      52,139      X     28-13605     46807                5332
                                                           1,001,055      15,792      X   X 28-13605     15792
                                                              25,419         401      X     28-13663       117                 284
                                                              28,526         450      X   X 28-13663       450
PRUDENTIAL PLC                 ADR            74435K204       27,562       1,147      X     28-5284        207                 940
                                                             198,848       8,275      X   X 28-5284                           8275
               COLUMN TOTAL                               14,107,467






                                                                                                                   FILE NO. 28-1235
 PAGE   199 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
PUBLIC SVC ENTERPRISE GROUP    COM            744573106    5,475,670     178,885      X     28-5284     173636                5249
                                                           7,218,267     235,814      X   X 28-5284     220966               14848
                                                             620,159      20,260      X     28-13605     14342                5918
                                                             318,405      10,402      X   X 28-13605     10402
                                                               3,061         100      X     28-13663                           100
                                                              15,091         493      X   X 28-13663       493
PUBLIC STORAGE                 COM            74460D109    2,360,911      17,087      X     28-5284      16430                 657
                                                           2,281,325      16,511      X   X 28-5284      16403                 108
                                                           3,673,111      26,584      X     28-13605     24792                1792
                                                             532,922       3,857      X   X 28-13605      3841        16
                                                               1,244           9      X     28-13663                             9
PULSE ELECTRONICS CORP         COM            74586W106        8,158       3,250      X   X 28-5284                           3250
PULTE GROUP INC                COM            745867101       24,497       2,768      X     28-5284        602                2166
                                                              11,532       1,303      X   X 28-5284                           1303
                                                              40,984       4,631      X     28-13605       983                3648
PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107       12,675       1,500      X     28-5284       1500
                                                               4,225         500      X   X 28-5284        500
PUTNAM MANAGED MUN INCOM TR    COM            746823103       26,950       3,500      X     28-5284       3500
PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103        9,413         750      X   X 28-5284        750
QLOGIC CORP                    COM            747277101      181,347      10,211      X     28-5284       1422                8789
                                                              32,483       1,829      X   X 28-5284         29                1800
QUAD / GRAPHICS INC            COM CL A       747301109      769,587      55,366      X   X 28-5284      55366
QUAKER CHEM CORP               COM            747316107        9,113         231      X     28-5284        151                  80
                                                             226,522       5,742      X   X 28-5284       1542                4200
                                                              59,175       1,500      X     28-13605      1500
QKL STORES INC                 COM            74732Y105          442         560      X     28-5284        560
QLIK TECHNOLOGIES INC          COM            74733T105       27,200         850      X     28-5284        850
                                                             251,552       7,861      X   X 28-5284        131                7730
               COLUMN TOTAL                               24,196,021






                                                                                                                   FILE NO. 28-1235
 PAGE   200 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
QEP RES INC                    COM            74733V100      651,511      21,361      X     28-5284      20027                1334
                                                           3,316,296     108,731      X   X 28-5284     108528                 203
                                                             390,492      12,803      X     28-13605     10781                2022
                                                             706,868      23,176      X   X 28-13605     23176
QR ENERGY LP                   UNIT LTD PRTNS 74734R108       31,830       1,500      X     28-5284       1500
PYXIS CR STRATEGIES FD         COM            74734W107       20,605       3,250      X   X 28-5284       3250
QUALCOMM INC                   COM            747525103  118,574,881   1,742,211      X     28-5284    1659129               83082
                                                          57,926,683     851,112      X   X 28-5284     736433              114679
                                                          61,270,539     900,243      X     28-13605    865903               34340
                                                          15,652,575     229,982      X   X 28-13605    222035       235      7712
                                                           1,053,977      15,486      X     28-13663      9198                6288
                                                             783,983      11,519      X   X 28-13663     11519
QUALITY SYS INC                COM            747582104      149,382       3,416      X     28-5284       3416
                                                              16,005         366      X   X 28-5284        366
                                                             297,364       6,800      X   X 28-13605      6800
QUANTA SVCS INC                COM            74762E102      493,073      23,592      X     28-5284      23477                 115
                                                             175,330       8,389      X   X 28-5284       7900                 489
                                                              92,336       4,418      X     28-13605       648                3770
                                                               6,270         300      X   X 28-13605       300
                                                               2,257         108      X     28-13663                           108
QUANTUM CORP                   COM DSSG       747906204        6,429       2,454      X     28-5284       2454
QUATERRA RES INC               COM            747952109       13,250      25,000      X     28-13605     25000
QUEST DIAGNOSTICS INC          COM            74834L100    1,023,101      16,731      X     28-5284      15949                 782
                                                             872,366      14,266      X   X 28-5284      11899                2367
                                                             296,822       4,854      X     28-13605      2825                2029
                                                               6,115         100      X   X 28-13605       100
                                                               1,101          18      X     28-13663                            18
QUESTCOR PHARMACEUTICALS INC   COM            74835Y101      162,782       4,327      X     28-13605      4327
QUESTAR CORP                   COM            748356102      532,963      27,672      X     28-5284      25618                2054
                                                           2,491,454     129,359      X   X 28-5284     121459                7900
                                                             536,102      27,835      X     28-13605     27791                  44
                                                             605,823      31,455      X   X 28-13605     31455
               COLUMN TOTAL                              268,160,565






                                                                                                                   FILE NO. 28-1235
 PAGE   201 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
QUIKSILVER INC                 COM            74838C106       23,634       5,850      X     28-5284       4850                1000
QUIDEL CORP                    COM            74838J101        7,348         400      X     28-5284        400
                                                             163,860       8,920      X   X 28-5284                           8920
RAIT FINANCIAL TRUST           COM NEW        749227609        1,243         250      X   X 28-5284        250
RGC RES INC                    COM            74955L103       31,280       1,700      X   X 28-5284                           1700
RLI CORP                       COM            749607107        8,597         120      X     28-5284                            120
                                                           1,912,358      26,694      X     28-13605     21566                5128
                                                              17,910         250      X   X 28-13605       150                 100
RPC INC                        COM            749660106      196,943      18,562      X     28-5284      18562
RPM INTL INC                   COM            749685103    1,527,139      58,310      X     28-5284      52650                5660
                                                             749,374      28,613      X   X 28-5284      28613
                                                               8,512         325      X     28-13605       325
                                                             110,731       4,228      X   X 28-13605      4228
RSC HOLDINGS INC               COM            74972L102      300,176      13,288      X     28-13605     13288
RTI INTL METALS INC            COM            74973W107       10,585         459      X     28-5284        249                 210
                                                              26,588       1,153      X   X 28-5284       1153
RTI BIOLOGICS INC              COM            74975N105       79,857      21,583      X     28-13605     21583
RF MICRODEVICES INC            COM            749941100       18,426       3,700      X   X 28-5284        200                3500
                                                              27,390       5,500      X     28-13605      5500
RACKSPACE HOSTING INC          COM            750086100        7,744         134      X     28-5284        134
                                                              83,564       1,446      X   X 28-5284       1446
                                                             295,018       5,105      X     28-13605      5105
RADIAN GROUP INC               COM            750236101       84,390      19,400      X     28-5284      19400
                                                             208,139      47,848      X     28-13605     47848
RADIOSHACK CORP                COM            750438103       36,076       5,800      X     28-5284       3471                2329
                                                               1,244         200      X   X 28-5284        200
                                                              81,874      13,163      X     28-13605     13163
RADISYS CORP                   COM            750459109        1,628         220      X     28-5284                            220
               COLUMN TOTAL                                6,021,628






                                                                                                                   FILE NO. 28-1235
 PAGE   202 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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       93,279       1,259      X     28-5284       1057                 202
                                                             149,069       2,012      X   X 28-5284       2012
                                                              12,966         175      X     28-13605       175
                                                               3,705          50      X   X 28-13605        50
                                                              14,818         200      X     28-13663       200
RALPH LAUREN CORP              CL A           751212101      580,170       3,328      X     28-5284       3227                 101
                                                             111,571         640      X   X 28-5284        605                  35
                                                             172,064         987      X     28-13605       240                 747
                                                              13,772          79      X   X 28-13605        79
                                                               2,964          17      X     28-13663                            17
RAMCO-GERSHENSON PPTYS TR      COM SH BEN INT 751452202       40,387       3,305      X     28-5284       3305
RANGE RES CORP                 COM            75281A109      203,897       3,507      X     28-5284       2282                1225
                                                           1,133,090      19,489      X   X 28-5284       4368               15121
                                                             196,164       3,374      X     28-13605      1001                2373
                                                               2,384          41      X   X 28-13605        41
                                                               3,081          53      X     28-13663                            53
RAVEN INDS INC                 COM            754212108        6,101         100      X     28-13605       100
RAYMOND JAMES FINANCIAL INC    COM            754730109      115,179       3,153      X     28-5284       1473                1680
                                                             363,072       9,939      X   X 28-5284       1209                8730
                                                              21,918         600      X     28-13663       600
RAYONIER INC                   COM            754907103      397,030       9,005      X     28-5284       8306                 699
                                                             607,604      13,781      X   X 28-5284      12073                1708
                                                              17,636         400      X     28-13605       400
                                                              24,999         567      X   X 28-13605       567
RAYTHEON CO                    COM NEW        755111507    6,794,686     128,736      X     28-5284     123848                4888
                                                          10,531,774     199,541      X   X 28-5284     188581               10960
                                                           1,094,816      20,743      X     28-13605     16738                4005
                                                             385,927       7,312      X   X 28-13605      6312                1000
                                                               7,811         148      X     28-13663                           148
                                                              83,181       1,576      X   X 28-13663      1576
RBC BEARINGS INC               COM            75524B104        4,152          90      X     28-13605        90
REACHLOCAL INC                 COM            75525F104      230,648      32,349      X     28-13605     32349
               COLUMN TOTAL                               23,419,915






                                                                                                                   FILE NO. 28-1235
 PAGE   203 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
REALTY INCOME CORP             COM            756109104       82,069       2,119      X     28-5284       2119
                                                              98,723       2,549      X   X 28-5284       2249                 300
                                                             349,461       9,023      X     28-13605      9023
REAVES UTIL INCOME FD          COM SH BEN INT 756158101       78,000       3,000      X   X 28-5284       3000
RED HAT INC                    COM            756577102    2,949,103      49,242      X     28-5284      48343                 899
                                                             300,947       5,025      X   X 28-5284       4825                 200
                                                           5,613,310      93,727      X     28-13605     90741                2986
                                                             923,264      15,416      X   X 28-13605     15356        60
                                                               1,617          27      X     28-13663                            27
RED ROBIN GOURMET BURGERS IN   COM            75689M101      458,478      12,328      X     28-5284                          12328
                                                              66,570       1,790      X   X 28-5284                           1790
                                                              16,847         453      X     28-13663                           453
REDWOOD TR INC                 COM            758075402       26,040       2,325      X     28-5284       2325
                                                              12,813       1,144      X   X 28-5284       1144
                                                               4,480         400      X   X 28-13605       400
REED ELSEVIER N V              SPONS ADR NEW  758204200       73,731       2,888      X     28-5284       2888
                                                               3,676         144      X   X 28-5284        144
                                                               2,298          90      X   X 28-13605        90
REED ELSEVIER P L C            SPONS ADR NEW  758205207       21,228         600      X     28-5284        600
REGAL BELOIT CORP              COM            758750103       33,824         516      X     28-5284        516
                                                               4,916          75      X   X 28-5284         75
                                                           1,854,475      28,291      X     28-13605     22855                5436
                                                              10,488         160      X   X 28-13605       160
REGAL ENTMT GROUP              CL A           758766109      209,984      15,440      X     28-5284                          15440
                                                               1,918         141      X   X 28-5284        141
REGENCY CTRS CORP              COM            758849103       27,933         628      X   X 28-5284        628
REGENCY ENERGY PARTNERS L P    COM UNITS L P  75885Y107        4,918         200      X     28-5284        200
                                                             244,671       9,950      X   X 28-5284       7950                2000
                                                              12,295         500      X     28-13605       500
               COLUMN TOTAL                               13,488,077






                                                                                                                   FILE NO. 28-1235
 PAGE   204 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
REGENERON PHARMACEUTICALS      COM            75886F107      734,706       6,300      X     28-5284                           6300
                                                           1,193,372      10,233      X   X 28-5284        563                9670
                                                              72,304         620      X     28-13605       420                 200
                                                              72,888         625      X     28-13663                           625
REGIONS FINANCIAL CORP NEW     COM            7591EP100      723,879     109,845      X     28-5284      97024               12821
                                                             296,939      45,059      X   X 28-5284      42455                2604
                                                             110,844      16,820      X     28-13605      3875               12945
                                                              19,111       2,900      X   X 28-13605      2900
                                                               7,275       1,104      X     28-13663                          1104
REINSURANCE GROUP AMER INC     COM NEW        759351604       96,222       1,618      X     28-5284       1618
                                                              18,793         316      X   X 28-5284        316
                                                               7,434         125      X     28-13605       125
                                                               6,125         103      X   X 28-13605       103
REIS INC                       COM            75936P105          446          50      X   X 28-5284         50
RELIANCE STEEL & ALUMINUM CO   COM            759509102       42,304         749      X     28-5284        749
                                                              23,496         416      X   X 28-5284        416
RENESOLA LTD                   SPONS ADS      75971T103          462         200      X     28-5284        200
RENREN INC                     SPONSORED ADR  759892102        2,815         510      X   X 28-5284        510
RENT A CTR INC NEW             COM            76009N100      222,725       5,900      X   X 28-5284                           5900
RENTECH INC                    COM            760112102        4,160       2,000      X     28-13605      2000
REPUBLIC BANCORP KY            CL A           760281204       75,300       3,148      X     28-5284       3148
REPUBLIC FIRST BANCORP INC     COM            760416107          236         100      X     28-5284        100
REPUBLIC SVCS INC              COM            760759100      571,686      18,707      X     28-5284      13125                5582
                                                             406,356      13,297      X   X 28-5284       6960                6337
                                                             147,269       4,819      X     28-13605      1168                3651
                                                              30,560       1,000      X   X 28-13605      1000
RESEARCH IN MOTION LTD         COM            760975102       43,100       2,932      X     28-5284       2932
                                                               7,100         483      X   X 28-5284        483
                                                               6,174         420      X   X 28-13605       420
               COLUMN TOTAL                                4,944,081






                                                                                                                   FILE NO. 28-1235
 PAGE   205 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
RESMED INC                     COM            761152107    7,880,690     254,956      X     28-5284     243678               11278
                                                           1,394,443      45,113      X   X 28-5284      26954               18159
                                                          23,887,990     772,824      X     28-13605    756238               16586
                                                           4,746,849     153,570      X   X 28-13605    150065       215      3290
                                                             129,049       4,175      X     28-13663      4175
RESOURCE AMERICA INC           CL A           761195205       38,939       6,171      X     28-5284       6171
RETAIL OPPORTUNITY INVTS COR   COM            76131N101       46,968       3,901      X   X 28-5284                           3901
REVLON INC                     CL A NEW       761525609       17,250       1,000      X   X 28-5284       1000
REX ENERGY CORPORATION         COM            761565100       10,680       1,000      X   X 28-5284       1000
                                                              53,400       5,000      X     28-13605      5000
REX AMERICAN RESOURCES CORP    COM            761624105       65,238       2,125      X     28-13605      2125
REYNOLDS AMERICAN INC          COM            761713106    1,322,972      31,925      X     28-5284      25225                6700
                                                             440,051      10,619      X   X 28-5284      10499                 120
                                                             490,691      11,841      X     28-13605      7932                3909
                                                             147,444       3,558      X   X 28-13605      3558
                                                               1,658          40      X     28-13663                            40
                                                              53,085       1,281      X   X 28-13663      1281
RHINO RESOURCE PARTNERS LP     COM UNIT REPST 76218Y103       18,470       1,000      X     28-5284       1000
                                                               1,847         100      X   X 28-13605       100
RICKS CABARET INTL INC         COM NEW        765641303        1,866         200      X     28-5284        200
RIO TINTO PLC                  SPONSORED ADR  767204100    1,446,952      26,029      X     28-5284      26029
                                                           1,463,018      26,318      X   X 28-5284      14578               11740
                                                              33,132         596      X     28-13605       596
                                                              40,303         725      X   X 28-13605       725
RITCHIE BROS AUCTIONEERS       COM            767744105      206,712       8,700      X   X 28-5284       8700
                                                               1,758          74      X     28-13605        74
RITE AID CORP                  COM            767754104       15,660       9,000      X     28-5284       9000
                                                               3,132       1,800      X   X 28-5284       1800
                                                               4,350       2,500      X   X 28-13605      2500
               COLUMN TOTAL                               43,964,597






                                                                                                                   FILE NO. 28-1235
 PAGE   206 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
RIVERBED TECHNOLOGY INC        COM            768573107       73,345       2,612      X     28-5284       2612
                                                             120,267       4,283      X   X 28-5284       4283
                                                             153,204       5,456      X     28-13605      5456
ROBBINS & MYERS INC            COM            770196103       28,211         542      X     28-5284        242                 300
                                                           6,764,418     129,960      X   X 28-5284     129960
ROBERT HALF INTL INC           COM            770323103       31,300       1,033      X     28-5284        869                 164
                                                              99,202       3,274      X   X 28-5284        474                2800
                                                              61,327       2,024      X     28-13605       428                1596
ROCK-TENN CO                   CL A           772739207      120,797       1,788      X   X 28-5284        568                1220
ROCKWELL AUTOMATION INC        COM            773903109   10,124,450     127,032      X     28-5284     124362                2670
                                                           3,979,023      49,925      X   X 28-5284      45702                4223
                                                             877,099      11,005      X     28-13605      9381                1624
                                                             315,134       3,954      X   X 28-13605      3954
                                                              50,052         628      X     28-13663       600                  28
ROCKWELL COLLINS INC           COM            774341101      982,146      17,063      X     28-5284      16645                 418
                                                           1,197,075      20,797      X   X 28-5284      17989                2808
                                                             149,541       2,598      X     28-13605       859                1739
                                                             245,263       4,261      X   X 28-13605      4261
ROCKWOOD HLDGS INC             COM            774415103       13,194         253      X   X 28-5284        253
                                                             460,902       8,838      X     28-13605      8838
ROFIN SINAR TECHNOLOGIES INC   COM            775043102       56,142       2,129      X   X 28-5284                           2129
                                                           1,601,424      60,729      X     28-13605     49202               11527
                                                               8,992         341      X   X 28-13605       341
ROGERS COMMUNICATIONS INC      CL B           775109200      117,115       2,950      X     28-5284       2700                 250
                                                              79,400       2,000      X   X 28-13663      2000
ROGERS CORP                    COM            775133101        4,263         110      X     28-5284                            110
ROLLINS INC                    COM            775711104      247,912      11,650      X     28-5284      11650
                                                             106,400       5,000      X   X 28-5284       5000
               COLUMN TOTAL                               28,067,598






                                                                                                                   FILE NO. 28-1235
 PAGE   207 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ROPER INDS INC NEW             COM            776696106    1,619,481      16,332      X     28-5284       7783                8549
                                                             529,415       5,339      X   X 28-5284       2325                3014
                                                             496,990       5,012      X     28-13605      3488                1524
                                                             453,062       4,569      X   X 28-13605      4269                 300
                                                               5,057          51      X     28-13663                            51
                                                             138,824       1,400      X   X 28-13663      1400
ROSS STORES INC                COM            778296103   15,338,458     264,001      X     28-5284     260527                3474
                                                           8,543,431     147,047      X   X 28-5284     139299                7748
                                                           1,071,190      18,437      X     28-13605     15197                3240
                                                             223,104       3,840      X   X 28-13605      3840
                                                             196,610       3,384      X     28-13663      3300                  84
                                                              81,340       1,400      X   X 28-13663      1400
ROUSE PPTYS INC                COM            779287101        1,828         135      X   X 28-5284        135
ROVI CORP                      COM            779376102       10,286         316      X   X 28-5284        316
ROWAN COS INC                  COM            779382100       87,693       2,663      X     28-5284       2068                 595
                                                             250,169       7,597      X   X 28-5284       1558                6039
                                                              62,007       1,883      X     28-13605       490                1393
                                                               2,931          89      X   X 28-13605        89
                                                               5,071         154      X     28-13663                           154
ROYAL BK CDA MONTREAL QUE      COM            780087102       77,613       1,337      X     28-5284       1337
                                                             487,968       8,406      X   X 28-5284       6906                1500
                                                             116,100       2,000      X   X 28-13663      2000
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF S  780097739       16,700       1,000      X   X 28-5284       1000
                                                              16,700       1,000      X   X 28-13605      1000
ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS Q 780097754       33,980       2,000      X     28-5284       2000
                                                              16,990       1,000      X   X 28-5284       1000
ROYAL BK SCOTLAND GROUP PLC    ADR PREF SER N 780097770       12,928         800      X     28-5284        800
                                                              32,320       2,000      X   X 28-13605      2000
ROYAL BK SCOTLAND GROUP PLC    SP ADR L RP PF 780097788        2,219         119      X     28-5284        119
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796       24,660       1,500      X     28-5284       1500
               COLUMN TOTAL                               29,955,125






                                                                                                                   FILE NO. 28-1235
 PAGE   208 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ROYAL DUTCH SHELL PLC          SPON ADR B     780259107      296,929       4,204      X     28-5284       4064                 140
                                                           3,152,853      44,639      X   X 28-5284      44339                 300
                                                             150,442       2,130      X     28-13605      1872                 258
                                                              48,240         683      X   X 28-13605       683
                                                              38,917         551      X     28-13663       551
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206   21,534,679     307,068      X     28-5284     303418                3650
                                                          23,759,413     338,791      X   X 28-5284     318839               19952
                                                             879,851      12,546      X     28-13605     12546
                                                           1,379,808      19,675      X   X 28-13605     18375                1300
                                                              85,769       1,223      X     28-13663      1223
                                                              10,940         156      X   X 28-13663       156
ROYAL GOLD INC                 COM            780287108      344,883       5,288      X     28-5284       1792                3496
                                                             131,744       2,020      X   X 28-5284       1413                 607
                                                               8,283         127      X     28-13663                           127
ROYCE VALUE TR INC             COM            780910105       70,839       5,100      X   X 28-5284       5100
RUBICON TECHNOLOGY INC         COM            78112T107       31,290       3,000      X   X 28-13605      3000
RUBY TUESDAY INC               COM            781182100        2,739         300      X     28-5284        300
RUDOLPH TECHNOLOGIES INC       COM            781270103        2,555         230      X     28-5284                            230
RURBAN FINL CORP               COM            78176P108       39,500      10,000      X     28-5284      10000
RUTHS HOSPITALITY GROUP INC    COM            783332109          380          50      X     28-5284         50
RYANAIR HLDGS PLC              SPONSORED ADR  783513104       21,405         590      X     28-5284                            590
                                                              80,542       2,220      X   X 28-5284       2220
RYDER SYS INC                  COM            783549108      504,082       9,547      X     28-5284                           9547
                                                             452,126       8,563      X   X 28-5284        201                8362
                                                              37,963         719      X     28-13605       152                 567
                                                              28,776         545      X     28-13663                           545
RYDEX ETF TRUST                GUG S&P500 EQ  78355W106       82,992       1,600      X     28-5284       1600
                                                             280,409       5,406      X   X 28-5284       5406
RYDEX ETF TRUST                GUG S&P SC600  78355W700       20,495         500      X   X 28-5284                            500
               COLUMN TOTAL                               53,478,844






                                                                                                                   FILE NO. 28-1235
 PAGE   209 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
RYLAND GROUP INC               COM            783764103       17,352         900      X   X 28-5284                            900
                                                               1,928         100      X     28-13605       100
S & T BANCORP INC              COM            783859101      119,577       5,513      X     28-5284       5513
                                                             110,098       5,076      X   X 28-5284       4676                 400
SBA COMMUNICATIONS CORP        COM            78388J106       25,354         499      X     28-5284        499
                                                             446,061       8,779      X   X 28-5284        847                7932
SAIC INC                       COM            78390X101        7,088         537      X     28-5284        355                 182
                                                              52,259       3,959      X     28-13605       824                3135
SEI INVESTMENTS CO             COM            784117103       74,484       3,600      X     28-5284       3600
                                                             164,672       7,959      X   X 28-5284       2203                5756
SJW CORP                       COM            784305104       45,828       1,900      X   X 28-5284       1900
SK TELECOM LTD                 SPONSORED ADR  78440P108      119,904       8,620      X     28-5284        246                8374
                                                             190,191      13,673      X   X 28-5284                          13673
                                                               2,671         192      X   X 28-13605       192
SL GREEN RLTY CORP             COM            78440X101      219,234       2,827      X     28-5284       1697                1130
                                                             368,905       4,757      X   X 28-5284        317                4440
S L INDS INC                   COM            784413106       16,145         825      X     28-5284        825
SLM CORP                       COM            78442P106      142,801       9,061      X     28-5284       6546                2515
                                                              59,399       3,769      X   X 28-5284       3244                 525
                                                             135,331       8,587      X     28-13605      2690                5897
SM ENERGY CO                   COM            78454L100       39,560         559      X   X 28-5284        559
SPDR S&P 500 ETF TR            TR UNIT        78462F103  466,882,731   3,315,693      X     28-5284    3257664               58029
                                                         188,687,935   1,340,018      X   X 28-5284    1328690               11328
                                                          14,119,864     100,276      X     28-13605     96957                3319
                                                           6,487,398      46,072      X   X 28-13605     45942                 130
                                                           5,851,782      41,558      X     28-13663     41558
                                                           2,856,331      20,285      X   X 28-13663     20285
               COLUMN TOTAL                              687,244,883






                                                                                                                   FILE NO. 28-1235
 PAGE   210 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR GOLD TRUST                GOLD SHS       78463V107   64,957,269     400,674      X     28-5284     396620                4054
                                                          23,935,397     147,640      X   X 28-5284     144179                3461
                                                           1,526,846       9,418      X     28-13605      9418
                                                           2,928,860      18,066      X   X 28-13605     18066
                                                             145,908         900      X     28-13663       900
                                                             671,825       4,144      X   X 28-13663      3756                 388
SPDR INDEX SHS FDS             S&P CHINA ETF  78463X400       27,348         400      X   X 28-5284        400
SPDR INDEX SHS FDS             S&PINTL MC ETF 78463X764       81,699       2,888      X   X 28-5284       2888
SPDR INDEX SHS FDS             S&P INTL ETF   78463X772       22,487         450      X     28-5284        450
SPDR INDEX SHS FDS             MIDEAST AFRICA 78463X806       21,336         300      X     28-13605       300
SPDR INDEX SHS FDS             RUSS NOMURA PR 78463X830      572,020      14,800      X     28-5284      14800
                                                             185,520       4,800      X   X 28-5284       4800
SPDR INDEX SHS FDS             MSCI ACWI EXUS 78463X848    3,221,795     102,507      X     28-5284     102507
SPDR INDEX SHS FDS             DJ INTL RL ETF 78463X863       24,080         654      X   X 28-5284        654
SPDR INDEX SHS FDS             S&P INTL SMLCP 78463X871      109,211       3,796      X   X 28-5284       3796
SPDR INDEX SHS FDS             S&P WRLD EX US 78463X889        4,894         200      X     28-5284        200
SPX CORP                       COM            784635104      359,196       4,633      X     28-5284       4233                 400
                                                           1,030,994      13,298      X   X 28-5284      13298
                                                              32,950         425      X     28-13605       325                 100
                                                              27,136         350      X   X 28-13605       350
SPDR SERIES TRUST              MORGAN TECH ET 78464A102    1,456,294      20,382      X     28-5284      20382
                                                             404,979       5,668      X   X 28-5284       5668
SPDR SERIES TRUST              SHRT INTL ETF  78464A334       35,968         983      X     28-5284        983
SPDR SERIES TRUST              BRCLYS CAP CON 78464A359    5,598,736     140,460      X     28-5284     140460
                                                           1,050,072      26,344      X   X 28-5284      26344
                                                           1,375,329      34,504      X     28-13605     33504                1000
                                                           1,081,003      27,120      X   X 28-13605     27120
SPDR SERIES TRUST              INTR TRM CORP  78464A375      101,128       2,984      X   X 28-5284                           2984
               COLUMN TOTAL                              110,990,280






                                                                                                                   FILE NO. 28-1235
 PAGE   211 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR SERIES TRUST              BRCLYS YLD ETF 78464A417   43,234,008   1,098,146      X     28-5284    1096605                1541
                                                           7,748,567     196,814      X   X 28-5284     181513               15301
                                                           1,892,477      48,069      X     28-13605     48069
                                                             698,424      17,740      X   X 28-13605     17607                 133
                                                           1,548,028      39,320      X     28-13663     39320
                                                           3,174,088      80,622      X   X 28-13663     80622
SPDR SERIES TRUST              NUVN BR SHT MU 78464A425   68,082,250   2,793,691      X     28-5284    2784491                9200
                                                          34,609,056   1,420,150      X   X 28-5284    1354262               65888
                                                           1,149,996      47,189      X     28-13605     47189
                                                           1,352,511      55,499      X   X 28-13605     55499
                                                           1,863,720      76,476      X     28-13663     73726                2750
                                                             104,742       4,298      X   X 28-13663      4298
SPDR SERIES TRUST              DB INT GVT ETF 78464A490      114,855       1,900      X   X 28-5284                           1900
SPDR SERIES TRUST              BRCLYS INTL ET 78464A516      911,508      15,207      X     28-5284      14358                 849
                                                             434,625       7,251      X   X 28-5284       7251
                                                              14,985         250      X     28-13605       250
SPDR SERIES TRUST              DJ REIT ETF    78464A607   14,049,131     198,350      X     28-5284     198050                 300
                                                           2,955,169      41,722      X   X 28-5284      39715                2007
                                                             642,641       9,073      X     28-13605      9073
                                                             162,909       2,300      X   X 28-13605      2300
                                                             946,360      13,361      X     28-13663     12361                1000
SPDR SERIES TRUST              BARCL CAP TIPS 78464A656      128,370       2,200      X     28-5284       2200
SPDR SERIES TRUST              BRCLYS 1-3MT E 78464A680       41,742         911      X     28-5284        911
SPDR SERIES TRUST              S&P REGL BKG   78464A698       14,235         500      X   X 28-5284        500
SPDR SERIES TRUST              S&P OILGAS EXP 78464A730      398,370       7,000      X     28-5284       7000
SPDR SERIES TRUST              OILGAS EQUIP   78464A748       30,949         850      X     28-5284        850
SPDR SERIES TRUST              S&P METALS MNG 78464A755      248,600       5,000      X     28-5284       5000
                                                              31,871         641      X   X 28-13605                           641
SPDR SERIES TRUST              S&P DIVID ETF  78464A763      251,878       4,447      X     28-5284       4447
                                                           3,760,896      66,400      X   X 28-5284      66400
                                                              22,656         400      X   X 28-13663       400
               COLUMN TOTAL                              190,619,617






                                                                                                                   FILE NO. 28-1235
 PAGE   212 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPDR SERIES TRUST              S&P BK ETF     78464A797        8,681         364      X   X 28-5284        364
SPDR SERIES TRUST              S&P HOMEBUILD  78464A888      256,200      12,000      X     28-5284      12000
                                                             114,351       5,356      X   X 28-5284       5356
SS&C TECHNOLOGIES HLDGS INC    COM            78467J100       73,140       3,135      X   X 28-5284                           3135
SPDR DOW JONES INDL AVRG ETF   UT SER 1       78467X109   16,558,693     125,635      X     28-5284     125433                 202
                                                           9,419,746      71,470      X   X 28-5284      68161                3309
                                                           1,641,964      12,458      X     28-13605     12458
                                                             700,253       5,313      X   X 28-13605      5313
                                                             398,695       3,025      X   X 28-13663      3025
SPDR S&P MIDCAP 400 ETF TR     UTSER1 S&PDCRP 78467Y107   81,758,625     452,430      X     28-5284     435642               16788
                                                          52,092,368     288,265      X   X 28-5284     286298                1967
                                                             455,751       2,522      X     28-13605      2522
                                                              97,764         541      X   X 28-13605       541
                                                           1,158,170       6,409      X     28-13663      6409
                                                           1,805,474       9,991      X   X 28-13663      9991
SVB FINL GROUP                 COM            78486Q101      152,293       2,367      X     28-13605      2367
SABA SOFTWARE INC              COM NEW        784932600       41,300       4,210      X     28-5284       4210
SWS GROUP INC                  COM            78503N107        1,487         260      X     28-5284                            260
SXC HEALTH SOLUTIONS CORP      COM            78505P100       36,805         491      X   X 28-5284        491
S Y BANCORP INC                COM            785060104      189,080       8,150      X     28-5284       8150
                                                             787,756      33,955      X   X 28-5284      33955
SABINE ROYALTY TR              UNIT BEN INT   785688102      364,448       6,060      X     28-13605      6060
                                                               6,014         100      X   X 28-13605       100
SAFEGUARD SCIENTIFICS INC      COM NEW        786449207       12,659         736      X     28-5284        736
                                                                 568          33      X   X 28-5284         33
SAFETY INS GROUP INC           COM            78648T100        4,164         100      X   X 28-5284        100
SAFEWAY INC                    COM NEW        786514208       31,427       1,555      X     28-5284       1555
                                                              57,417       2,841      X   X 28-5284       2775                  66
                                                              80,517       3,984      X     28-13605      1006                2978
                                                               2,223         110      X   X 28-13605       110
               COLUMN TOTAL                              168,308,033






                                                                                                                   FILE NO. 28-1235
 PAGE   213 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SAGENT PHARMACEUTICALS INC     COM            786692103      140,280       7,850      X   X 28-5284                           7850
ST JOE CO                      COM            790148100       20,683       1,088      X     28-5284       1088
                                                             202,247      10,639      X   X 28-5284      10639
                                                              15,208         800      X     28-13605       800
ST JUDE MED INC                COM            790849103    3,917,137      88,403      X     28-5284      62915               25488
                                                           4,594,460     103,689      X   X 28-5284      81951               21738
                                                           5,798,362     130,859      X     28-13605    126839                4020
                                                             250,130       5,645      X   X 28-13605      5645
                                                              40,366         911      X     28-13663                           911
                                                             195,629       4,415      X   X 28-13663      4415
SAKS INC                       COM            79377W108      133,109      11,465      X     28-13605     11465
SALESFORCE COM INC             COM            79466L302    3,391,495      21,950      X     28-5284       6677               15273
                                                           2,434,460      15,756      X   X 28-5284        701               15055
                                                             502,930       3,255      X     28-13605      1740                1515
                                                             107,384         695      X   X 28-13605       215                 480
                                                             142,304         921      X     28-13663                           921
SALIX PHARMACEUTICALS INC      NOTE  2.750% 5 795435AC0      535,000       4,000      X   X 28-5284       4000
SALIX PHARMACEUTICALS INC      COM            795435106       21,893         417      X     28-5284        417
                                                               4,988          95      X   X 28-5284         95
SALLY BEAUTY HLDGS INC         COM            79546E104       40,771       1,644      X   X 28-5284       1644
                                                             499,894      20,157      X     28-13605     20157
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105      138,639       7,150      X     28-5284       7150
                                                               8,221         424      X   X 28-5284        424
SANDISK CORP                   COM            80004C101      670,209      13,515      X     28-5284        365               13150
                                                             527,290      10,633      X   X 28-5284       2118                8515
                                                             311,276       6,277      X     28-13605      3452                2825
                                                              29,456         594      X   X 28-13605       594
                                                              25,688         518      X     28-13663                           518
SANDRIDGE PERMIAN TR           COM UNIT BEN I 80007A102      109,557       4,700      X     28-5284       4700
SANDRIDGE ENERGY INC           COM            80007P307       20,796       2,656      X     28-5284       1700                 956
                                                              36,433       4,653      X   X 28-5284       4403                 250
               COLUMN TOTAL                               24,866,295






                                                                                                                   FILE NO. 28-1235
 PAGE   214 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SANDRIDGE MISSISSIPPIAN TR I   UNIT BEN INT   80007T101       50,643       1,700      X     28-5284       1700
                                                              35,003       1,175      X   X 28-5284       1175
SANDY SPRING BANCORP INC       COM            800363103       28,200       1,552      X     28-5284       1552
                                                              38,157       2,100      X   X 28-5284        300                1800
                                                               5,451         300      X     28-13605       300
SANMINA SCI CORP               COM NEW        800907206          538          47      X     28-5284         47
SANOFI                         SPONSORED ADR  80105N105    6,086,463     157,070      X     28-5284     150378                6692
                                                           1,409,299      36,369      X   X 28-5284      22289               14080
                                                           3,437,164      88,701      X     28-13605     88575                 126
                                                           1,082,985      27,948      X   X 28-13605     27948
                                                              61,225       1,580      X     28-13663      1580
                                                              81,763       2,110      X   X 28-13663      2110
SANOFI                         RIGHT 12/31/20 80105N113       25,942      19,216      X     28-5284      19216
                                                              18,638      13,806      X   X 28-5284      12356                1450
                                                               5,376       3,982      X     28-13605      3547                 435
                                                               3,422       2,535      X   X 28-13605      2435                 100
SAP AG                         SPON ADR       803054204    2,054,104      29,420      X     28-5284       7908               21512
                                                           1,287,830      18,445      X   X 28-5284        273               18172
                                                             160,586       2,300      X     28-13605      2300
                                                              68,424         980      X   X 28-13605       980
                                                              43,288         620      X     28-13663                           620
SAPIENT CORP                   COM            803062108       21,825       1,753      X     28-5284       1753
                                                               5,005         402      X   X 28-5284        402
SARA LEE CORP                  COM            803111103    3,738,921     173,661      X     28-5284     171488                2173
                                                           4,026,002     186,995      X   X 28-5284     183319                3676
                                                             453,185      21,049      X     28-13605     14232                6817
                                                              85,044       3,950      X   X 28-13605      2450                1500
                                                               2,175         101      X     28-13663                           101
SARATOGA INVT CORP             COM NEW        80349A208        1,685         100      X     28-5284        100
SASOL LTD                      SPONSORED ADR  803866300       65,810       1,353      X     28-5284       1353
                                                               2,140          44      X   X 28-5284         44
                                                               2,821          58      X     28-13605        58
SATCON TECHNOLOGY CORP         COM            803893106        1,260       3,500      X   X 28-5284       3500
               COLUMN TOTAL                               24,390,374






                                                                                                                   FILE NO. 28-1235
 PAGE   215 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SAUER-DANFOSS INC              COM            804137107       14,100         300      X     28-5284        300
                                                              37,600         800      X   X 28-5284                            800
SAUL CTRS INC                  COM            804395101       33,539         831      X     28-5284        831
                                                              40,360       1,000      X     28-13605      1000
SAVIENT PHARMACEUTICALS INC    COM            80517Q100       25,757      11,815      X     28-5284      11815
SCANA CORP NEW                 COM            80589M102      189,783       4,161      X     28-5284       3871                 290
                                                             433,067       9,495      X   X 28-5284       9459                  36
                                                             107,868       2,365      X     28-13605      1007                1358
                                                              77,537       1,700      X   X 28-13605      1700
                                                              39,818         873      X   X 28-13663       873
SCHEIN HENRY INC               COM            806407102       59,712         789      X     28-5284        789
                                                              62,739         829      X   X 28-5284        829
SCHIFF NUTRITION INTL INC      COM            806693107       18,435       1,500      X     28-5284       1500
SCHLUMBERGER LTD               COM            806857108   57,947,844     828,655      X     28-5284     771669               56986
                                                          56,712,321     810,987      X   X 28-5284     724453               86534
                                                          10,150,969     145,159      X     28-13605    129463               15696
                                                          10,746,493     153,675      X   X 28-13605    139105               14570
                                                             577,902       8,264      X     28-13663      4915                3349
                                                             301,748       4,315      X   X 28-13663      4315
SCHNITZER STL INDS             CL A           806882106       41,491       1,040      X     28-5284                           1040
                                                             217,308       5,447      X   X 28-5284        367                5080
                                                               3,192          80      X     28-13605        80
SCHWAB CHARLES CORP NEW        COM            808513105    2,458,549     171,089      X     28-5284      33662              137427
                                                           1,806,984     125,747      X   X 28-5284      22026              103721
                                                             309,717      21,553      X     28-13605     10329               11224
                                                              20,837       1,450      X   X 28-13605      1228                 222
                                                             125,235       8,715      X     28-13663                          8715
SCIQUEST INC NEW               COM            80908T101        1,280          84      X     28-13605        84
SCOTTS MIRACLE GRO CO          CL A           810186106      581,516      10,737      X     28-5284       7116                3621
                                                           3,077,588      56,824      X   X 28-5284      56674                 150
               COLUMN TOTAL                              146,221,289






                                                                                                                   FILE NO. 28-1235
 PAGE   216 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SCRIPPS E W CO OHIO            CL A NEW       811054402      401,581      40,687      X     28-5284                          40687
                                                             134,044      13,581      X   X 28-5284       9230                4351
                                                              15,052       1,525      X     28-13663                          1525
SCRIPPS NETWORKS INTERACT IN   CL A COM       811065101    1,137,885      23,370      X     28-5284      20903                2467
                                                           1,517,570      31,168      X   X 28-5284      30078                1090
                                                             139,594       2,867      X     28-13605      1821                1046
                                                           1,523,997      31,300      X   X 28-13605     31300
SEABOARD CORP                  COM            811543107       97,550          50      X     28-13605        50
SEACHANGE INTL INC             COM            811699107      135,722      17,445      X     28-5284                          17445
                                                               5,337         686      X   X 28-5284                            686
                                                               5,617         722      X     28-13663                           722
SEACOAST BKG CORP FLA          COM            811707306          366         208      X     28-5284        208
SEACOR HOLDINGS INC            COM            811904101       58,905         615      X     28-5284                            615
                                                             186,196       1,944      X   X 28-5284         84                1860
                                                             129,590       1,353      X     28-13605      1353
SEABRIDGE GOLD INC             COM            811916105       40,180       2,000      X     28-5284       2000
                                                                 301          15      X     28-13605        15
SEALED AIR CORP NEW            COM            81211K100      649,839      33,653      X     28-5284      33567                  86
                                                             309,597      16,033      X   X 28-5284      13048                2985
                                                             358,394      18,560      X     28-13605     16445                2115
                                                               4,519         234      X   X 28-13605       234
SEARS HLDGS CORP               COM            812350106       33,125         500      X     28-5284        157                 343
                                                              41,274         623      X   X 28-5284        580                  43
                                                              34,980         528      X     28-13605       110                 418
                                                             119,051       1,797      X   X 28-13605      1797
SEATTLE GENETICS INC           COM            812578102       77,281       3,792      X     28-5284       3792
                                                               3,607         177      X   X 28-5284        177
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100    6,769,392     183,105      X     28-5284     181105                2000
                                                           2,588,011      70,003      X   X 28-5284      67903                2100
                                                             771,268      20,862      X     28-13605     20862
                                                             155,274       4,200      X   X 28-13605      4200
                                                             279,382       7,557      X     28-13663      7407                 150
               COLUMN TOTAL                               17,724,481






                                                                                                                   FILE NO. 28-1235
 PAGE   217 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209       96,319       2,561      X     28-5284       2561
                                                           1,044,655      27,776      X   X 28-5284      27776
SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308      582,734      17,099      X   X 28-5284      17099
SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407      464,427      10,300      X     28-5284      10300
                                                           1,001,855      22,219      X   X 28-5284      22219
SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506   14,293,963     199,219      X     28-5284     199219
                                                           5,339,635      74,420      X   X 28-5284      74026                 394
                                                           2,918,647      40,678      X     28-13605     40678
                                                             132,881       1,852      X   X 28-13605      1852
                                                              48,575         677      X     28-13663       677
                                                              72,683       1,013      X   X 28-13663      1013
SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605    9,347,734     591,816      X     28-5284     591816
                                                           2,248,466     142,353      X   X 28-5284     140353                2000
                                                              78,975       5,000      X     28-13605      5000
                                                              50,955       3,226      X   X 28-13605      3226
                                                             466,916      29,561      X   X 28-13663     29561
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704    4,295,728     114,813      X     28-5284     114813
                                                           2,124,012      56,769      X   X 28-5284      56369                 400
                                                             330,674       8,838      X     28-13663      8838
                                                               3,105          83      X   X 28-13663        83
SELECT SECTOR SPDR TR          TECHNOLOGY     81369Y803    5,757,122     190,886      X     28-5284     189386                1500
                                                           7,604,211     252,129      X   X 28-5284     252129
                                                           2,120,127      70,296      X     28-13605     70296
                                                             180,960       6,000      X   X 28-13605      6000
                                                             150,800       5,000      X     28-13663      5000
                                                             359,417      11,917      X   X 28-13663     11917
SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886    3,830,594     109,305      X     28-5284     109305
                                                           5,896,707     168,261      X   X 28-5284     166361                1900
                                                           4,519,929     128,975      X     28-13605    128475                 500
                                                             636,242      18,155      X   X 28-13605     18155
                                                             143,089       4,083      X   X 28-13663      4083
SELECT COMFORT CORP            COM            81616X103       19,434         600      X     28-5284        600
                                                              32,390       1,000      X     28-13605      1000
               COLUMN TOTAL                               76,193,961






                                                                                                                   FILE NO. 28-1235
 PAGE   218 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SELECTIVE INS GROUP INC        COM            816300107      226,817      12,880      X     28-5284      12500                 380
                                                             397,563      22,576      X   X 28-5284      18376                4200
SEMTECH CORP                   COM            816850101       21,971         772      X     28-5284        772
                                                              88,511       3,110      X     28-13605      3110
SEMPRA ENERGY                  COM            816851109      603,258      10,061      X     28-5284       9650                 411
                                                             359,820       6,001      X   X 28-5284       4870                1131
                                                             232,885       3,884      X     28-13605      1077                2807
                                                              33,937         566      X   X 28-13605       566
                                                               1,619          27      X     28-13663                            27
                                                              18,648         311      X   X 28-13663       311
SENIOR HSG PPTYS TR            SH BEN INT     81721M109       78,013       3,538      X     28-5284       3538
                                                               4,410         200      X   X 28-5284        200
                                                             208,703       9,465      X     28-13605      9465
SENSIENT TECHNOLOGIES CORP     COM            81725T100      139,346       3,667      X     28-5284       1500                2167
                                                               6,460         170      X   X 28-5284                            170
                                                             273,372       7,194      X     28-13605      7194
SERVICE CORP INTL              COM            817565104       29,107       2,585      X   X 28-5284       2585
SEVEN ARTS ENTMT INC           COM            81783N102        8,500      50,000      X     28-5284      50000
SHAW COMMUNICATIONS INC        CL B CONV      82028K200        6,345         300      X     28-5284        300
SHAW GROUP INC                 COM            820280105       37,164       1,172      X     28-5284       1172
                                                              12,684         400      X   X 28-5284        400
SHERWIN WILLIAMS CO            COM            824348106    1,215,474      11,185      X     28-5284      10925                 260
                                                           1,078,441       9,924      X   X 28-5284       9688                 236
                                                             165,939       1,527      X     28-13605       541                 986
                                                                 543           5      X     28-13663                             5
SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100       13,570         176      X     28-5284        176
SHIRE PLC                      SPONSORED ADR  82481R106   19,130,973     201,910      X     28-5284     178417               23493
                                                           3,821,552      40,333      X   X 28-5284      31143                9190
                                                          18,431,718     194,530      X     28-13605    191115                3415
                                                           3,910,333      41,270      X   X 28-13605     39600        55      1615
                                                             158,043       1,668      X     28-13663      1168                 500
                                                             113,700       1,200      X   X 28-13663      1200
               COLUMN TOTAL                               50,829,419






                                                                                                                   FILE NO. 28-1235
 PAGE   219 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SHORE BANCSHARES INC           COM            825107105      921,643     129,992      X   X 28-5284     129492                 500
                                                               4,254         600      X     28-13605       600
SHORETEL INC                   COM            825211105      105,296      18,538      X     28-13605     18538
SHUFFLE MASTER INC             COM            825549108       30,114       1,711      X     28-5284       1711
                                                               7,304         415      X   X 28-5284        415
SIEMENS A G                    SPONSORED ADR  826197501      549,578       5,450      X     28-5284       4553                 897
                                                             541,612       5,371      X   X 28-5284       1832                3539
                                                               5,546          55      X   X 28-13605        55
SIERRA BANCORP                 COM            82620P102        1,966         200      X   X 28-5284        200
SIFCO INDS INC                 COM            826546103       33,696       1,800      X   X 28-5284       1800
SIGMA ALDRICH CORP             COM            826552101      584,334       7,998      X     28-5284       7621                 377
                                                           2,757,942      37,749      X   X 28-5284      30023                7726
                                                           1,252,541      17,144      X     28-13605     15769                1375
                                                              96,805       1,325      X   X 28-13605      1325
                                                               1,023          14      X     28-13663                            14
SIGNATURE BK NEW YORK N Y      COM            82669G104        3,152          50      X   X 28-5284         50
                                                             399,548       6,338      X     28-13605      6338
SILICON LABORATORIES INC       COM            826919102       64,758       1,506      X     28-5284                           1506
                                                               3,096          72      X   X 28-5284         72
SILGAN HOLDINGS INC            COM            827048109      269,266       6,092      X     28-5284                           6092
                                                              18,034         408      X   X 28-5284        408
                                                             208,182       4,710      X     28-13605      4710
SILICON IMAGE INC              COM            82705T102       23,520       4,000      X   X 28-5284       4000
SILICON MOTION TECHNOLOGY CO   SPONSORED ADR  82706C108       67,582       3,489      X     28-13605      3489
SILICONWARE PRECISION INDS L   SPONSD ADR SPL 827084864       44,086       7,305      X     28-5284       7305
                                                                  72          12      X   X 28-5284         12
SILVER STD RES INC             COM            82823L106       20,800       1,383      X     28-5284       1383
                                                              39,931       2,655      X   X 28-5284       2655
                                                              15,040       1,000      X     28-13605      1000
               COLUMN TOTAL                                8,070,721






                                                                                                                   FILE NO. 28-1235
 PAGE   220 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SILVER WHEATON CORP            COM            828336107      318,886       9,605      X     28-5284       9605
                                                             370,246      11,152      X   X 28-5284      11152
                                                              13,280         400      X     28-13605       400
                                                               9,960         300      X   X 28-13605       300
SILVERCORP METALS INC          COM            82835P103       39,962       5,800      X     28-5284       5800
SIMMONS 1ST NATL CORP          CL A $1 PAR    828730200       10,332         400      X     28-5284        400
SIMON PPTY GROUP INC NEW       COM            828806109    4,496,268      30,864      X     28-5284      29037                1827
                                                           1,504,437      10,327      X   X 28-5284      10002                 325
                                                           8,546,609      58,667      X     28-13605     41164               17503
                                                           1,084,442       7,444      X   X 28-13605      7419        25
                                                             131,403         902      X     28-13663       849                  53
                                                              29,136         200      X   X 28-13663       200
SIMPSON MANUFACTURING CO INC   COM            829073105        9,030         280      X     28-5284                            280
SINCLAIR BROADCAST GROUP INC   CL A           829226109        4,424         400      X     28-5284        400
                                                              11,060       1,000      X   X 28-5284       1000
                                                               3,318         300      X   X 28-13605       300
SINGAPORE FD INC               COM            82929L109        5,897         455      X     28-5284        455
SIRONA DENTAL SYSTEMS INC      COM            82966C103       50,973         989      X     28-5284        989
                                                               6,030         117      X   X 28-5284        117
SIRIUS XM RADIO INC            COM            82967N108    5,980,401   2,588,918      X     28-5284    2588918
                                                              67,898      29,393      X   X 28-5284      29393
                                                              20,559       8,900      X     28-13605      8900
SKECHERS U S A INC             CL A           830566105        6,360         500      X     28-13605       500
                                                               5,253         413      X   X 28-13605       413
SKULLCANDY INC                 COM            83083J104          158          10      X     28-13605        10
SKYWEST INC                    COM            830879102        8,011         725      X     28-5284        355                 370
SKYWORKS SOLUTIONS INC         COM            83088M102       64,397       2,329      X     28-5284       2329
                                                              41,337       1,495      X   X 28-5284       1495
                                                             338,160      12,230      X     28-13605     12230
SMART BALANCE INC              COM            83169Y108        1,322         200      X   X 28-5284        200
               COLUMN TOTAL                               23,179,549






                                                                                                                   FILE NO. 28-1235
 PAGE   221 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SMART TECHNOLOGIES INC         CL A SUB VTG S 83172R108          297         100      X     28-5284        100
SMITH & NEPHEW PLC             SPDN ADR NEW   83175M205       23,836         472      X     28-5284        472
                                                             142,663       2,825      X   X 28-5284                           2825
SMITH A O                      COM            831865209      188,206       4,187      X     28-5284        250                3937
                                                              85,405       1,900      X   X 28-5284                           1900
SMITHFIELD FOODS INC           COM            832248108      140,111       6,360      X     28-5284       6360
                                                              50,977       2,314      X   X 28-5284       2314
                                                               3,965         180      X     28-13605       180
SMUCKER J M CO                 COM NEW        832696405   19,967,859     245,426      X     28-5284     244149                1277
                                                          11,857,081     145,736      X   X 28-5284     137106                8630
                                                           5,134,467      63,108      X     28-13605     60925                2183
                                                             675,695       8,305      X   X 28-13605      8105                 200
                                                             371,978       4,572      X     28-13663      4520                  52
                                                             357,984       4,400      X   X 28-13663      4400
SNAP ON INC                    COM            833034101      268,207       4,399      X     28-5284       4236                 163
                                                              84,687       1,389      X   X 28-5284       1323                  66
                                                              84,565       1,387      X     28-13605       728                 659
SNYDERS-LANCE INC              COM            833551104        5,816         225      X     28-5284        225
SOCIEDAD QUIMICA MINERA DE C   SPON ADR SER B 833635105      972,749      16,580      X     28-5284      12300                4280
                                                             251,694       4,290      X   X 28-5284                           4290
                                                              44,003         750      X     28-13663                           750
SOLAZYME INC                   COM            83415T101       14,630       1,000      X   X 28-5284       1000
SOLARWINDS INC                 COM            83416B109       12,716         329      X     28-5284        329
                                                             214,276       5,544      X   X 28-5284        474                5070
                                                               3,169          82      X     28-13605        82
SOLERA HOLDINGS INC            COM            83421A104       10,188         222      X   X 28-5284        222
                                                               2,937          64      X     28-13605        64
SOLUTIA INC                    *W EXP 02/27/2 834376147            1           4      X     28-5284          4
SOLUTIA INC                    COM NEW        834376501      222,151       7,951      X   X 28-5284       1011                6940
SOLTA MED INC                  COM            83438K103        3,030       1,000      X     28-5284       1000
               COLUMN TOTAL                               41,195,343






                                                                                                                   FILE NO. 28-1235
 PAGE   222 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SONIC AUTOMOTIVE INC           CL A           83545G102      703,093      39,257      X     28-13605     39257
SONIC FDRY INC                 COM NEW        83545R207       13,974       1,660      X     28-5284       1660
SONIC CORP                     COM            835451105        3,648         475      X     28-5284                            475
SONOCO PRODS CO                COM            835495102      728,474      21,942      X     28-5284      21942
                                                             441,494      13,298      X   X 28-5284      13298
                                                           1,665,544      50,167      X     28-13605     50167
                                                              10,026         302      X   X 28-13605       302
SONY CORP                      ADR NEW        835699307       15,931         767      X     28-5284        767
                                                              55,041       2,650      X   X 28-5284       2650
                                                                 228          11      X     28-13605        11
                                                              11,424         550      X   X 28-13605       550
SOTHEBYS                       COM            835898107       42,054       1,069      X     28-5284       1069
                                                               9,481         241      X   X 28-5284        241
SONUS NETWORKS INC             COM            835916107       55,100      19,000      X   X 28-13605     19000
SOURCE CAP INC                 COM            836144105       15,356         290      X   X 28-5284        290
SOURCEFIRE INC                 COM            83616T108        4,813         100      X     28-5284        100
                                                               3,850          80      X     28-13605        80
SOUTH JERSEY INDS INC          COM            838518108    2,524,718      50,454      X     28-5284      50454
                                                              97,578       1,950      X   X 28-5284                           1950
                                                              40,432         808      X     28-13605       808
SOUTHCOAST FINANCIAL CORP      COM            84129R100       19,215      12,100      X   X 28-5284                          12100
SOUTHERN CO                    COM            842587107   22,302,937     496,393      X     28-5284     473272               23121
                                                          16,184,864     360,224      X   X 28-5284     347767               12457
                                                           1,432,054      31,873      X     28-13605     21409               10464
                                                             997,356      22,198      X   X 28-13605     21898                 300
                                                             289,843       6,451      X     28-13663      6315                 136
                                                              95,027       2,115      X   X 28-13663      2115
               COLUMN TOTAL                               47,763,555






                                                                                                                   FILE NO. 28-1235
 PAGE   223 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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      538,309      16,976      X     28-5284       7516                9460
                                                             734,467      23,162      X   X 28-5284      21944                1218
                                                              31,551         995      X     28-13605       995
                                                             141,236       4,454      X   X 28-13605      4454
                                                               6,374         201      X     28-13663       201
SOUTHERN MO BANCORP INC        COM            843380106       12,800         500      X     28-5284        500
SOUTHERN NATL BANCORP OF VA    COM            843395104       95,560      14,157      X     28-13605     14157
SOUTHWEST AIRLS CO             COM            844741108       40,821       4,954      X     28-5284       4065                 889
                                                             370,858      45,007      X   X 28-5284      42869                2138
                                                              97,817      11,871      X     28-13605      2526                9345
                                                               8,701       1,056      X   X 28-13605       956                 100
SOUTHWEST BANCORP INC OKLA     COM            844767103      368,800      40,000      X     28-5284      40000
SOUTHWEST GAS CORP             COM            844895102      180,235       4,217      X     28-5284       3897                 320
                                                             179,508       4,200      X   X 28-5284       3200                1000
SOUTHWESTERN ENERGY CO         COM            845467109      386,050      12,616      X     28-5284       1529               11087
                                                           2,053,658      67,113      X   X 28-5284      50069               17044
                                                             175,154       5,724      X     28-13605      1778                3946
                                                              32,222       1,053      X   X 28-13605       708                 345
                                                              32,130       1,050      X     28-13663                          1050
SPECTRA ENERGY PARTNERS LP     COM            84756N109        9,585         300      X     28-5284        300
                                                             149,846       4,690      X   X 28-5284       3040                1650
SPECTRA ENERGY CORP            COM            847560109    4,982,660     157,929      X     28-5284     154416                3513
                                                           4,543,421     144,007      X   X 28-5284     124870               19137
                                                             428,954      13,596      X     28-13605      6104                7492
                                                             325,375      10,313      X   X 28-13605     10313
                                                             118,344       3,751      X     28-13663      3500                 251
SPECTRUM PHARMACEUTICALS INC   COM            84763A108       62,417       4,942      X     28-13605      4942
SPECTRUM BRANDS HLDGS INC      COM            84763R101       62,928       1,800      X   X 28-5284                           1800
SPEEDWAY MOTORSPORTS INC       COM            847788106       11,208         600      X     28-5284        600
SPHERIX INC                    COM NEW        84842R205          174         200      X     28-5284        200
               COLUMN TOTAL                               16,181,163






                                                                                                                   FILE NO. 28-1235
 PAGE   224 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SPIRIT AEROSYSTEMS HLDGS INC   COM CL A       848574109      708,239      28,955      X     28-5284        525               28430
                                                             643,200      26,296      X   X 28-5284        600               25696
                                                               6,604         270      X     28-13605       270
                                                               5,455         223      X   X 28-13605       223
                                                              23,849         975      X     28-13663                           975
SPIRIT AIRLS INC               COM            848577102        1,004          50      X   X 28-5284         50
SPREADTRUM COMMUNICATIONS IN   ADR            849415203      258,324      15,656      X     28-13605     15656
SPRINT NEXTEL CORP             COM SER 1      852061100      137,624      48,289      X     28-5284      43573                4716
                                                             215,206      75,511      X   X 28-5284      66923                8588
                                                             128,147      44,964      X     28-13605     11497               33467
                                                               1,610         565      X   X 28-13605       565
SPROTT PHYSICAL GOLD TRUST     UNIT           85207H104        8,664         600      X     28-5284        600
                                                              96,618       6,691      X   X 28-5284       6691
SPROTT RESOURCE LENDING CORP   COM            85207J100       58,590      37,558      X   X 28-5284      37558
SPROTT PHYSICAL SILVER TR      TR UNIT        85207K107       43,071       3,160      X     28-5284       3160
                                                             103,370       7,584      X   X 28-5284       7584
STANCORP FINL GROUP INC        COM            852891100        6,469         158      X   X 28-5284        158
STANDARD MICROSYSTEMS CORP     COM            853626109        4,139         160      X     28-5284                            160
                                                               1,035          40      X     28-13605        40
STANDARD MTR PRODS INC         COM            853666105        2,306         130      X     28-5284                            130
STANDARD PAC CORP NEW          COM            85375C101        3,746         840      X     28-5284                            840
STANDARD REGISTER CO           COM            853887107          113          90      X     28-5284                             90
                                                                 849         679      X   X 28-5284        679
STANDEX INTL CORP              COM            854231107        3,295          80      X     28-5284                             80
                                                             109,154       2,650      X     28-13605      2650
STANLEY BLACK & DECKER INC     COM            854502101    2,300,027      29,886      X     28-5284      29147                 739
                                                             220,875       2,870      X   X 28-5284       2700                 170
                                                             636,459       8,270      X     28-13605      6398                1872
                                                             592,361       7,697      X   X 28-13605      7697
               COLUMN TOTAL                                6,320,403






                                                                                                                   FILE NO. 28-1235
 PAGE   225 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STANLEY WKS                    FRNT         5 854616AM1      238,680       2,000      X   X 28-5284       2000
STAPLES INC                    COM            855030102      613,909      37,919      X     28-5284      30981                6938
                                                             866,343      53,511      X   X 28-5284      49881                3630
                                                             726,656      44,883      X     28-13605     37433                7450
                                                             702,015      43,361      X   X 28-13605     43361
                                                               4,598         284      X     28-13663                           284
                                                              26,228       1,620      X   X 28-13663      1620
STAR GAS PARTNERS L P          UNIT LTD PARTN 85512C105       17,322       4,184      X     28-5284       4184
STAR SCIENTIFIC INC            COM            85517P101        6,560       2,000      X     28-5284       2000
STARBUCKS CORP                 COM            855244109    9,032,215     161,607      X     28-5284     141565               20042
                                                           6,219,104     111,274      X   X 28-5284      87129               24145
                                                           1,286,141      23,012      X     28-13605     14604                8408
                                                             434,657       7,777      X   X 28-13605      7313                 464
                                                             295,155       5,281      X     28-13663      3725                1556
                                                             121,281       2,170      X   X 28-13663      2170
STATE AUTO FINL CORP           COM            855707105        9,789         670      X     28-5284        670
STARWOOD PPTY TR INC           COM            85571B105       10,510         500      X   X 28-5284        500
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401    2,051,914      36,375      X     28-5284      22692               13683
                                                           1,021,077      18,101      X   X 28-5284       5321               12780
                                                             205,276       3,639      X     28-13605      1421                2218
                                                               3,046          54      X   X 28-13605        54
                                                              80,102       1,420      X     28-13663                          1420
STATE BK FINL CORP             COM            856190103       44,651       2,550      X   X 28-5284                           2550
STATE STR CORP                 COM            857477103    9,803,248     215,456      X     28-5284     211883                3573
                                                          11,747,418     258,185      X   X 28-5284     249329                8856
                                                           3,804,346      83,612      X     28-13605     78225                5387
                                                           2,262,215      49,719      X   X 28-13605     47619                2100
                                                             129,311       2,842      X     28-13663       950                1892
                                                               3,185          70      X   X 28-13663        70
STATOIL ASA                    SPONSORED ADR  85771P102      164,205       6,057      X     28-5284       6057
                                                             393,366      14,510      X   X 28-5284      13510                1000
                                                              63,898       2,357      X   X 28-13663      2357
               COLUMN TOTAL                               52,388,421






                                                                                                                   FILE NO. 28-1235
 PAGE   226 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STEEL DYNAMICS INC             COM            858119100       58,887       4,050      X     28-5284       4050
                                                             348,451      23,965      X   X 28-5284      23965
                                                               5,525         380      X     28-13605       380
                                                             174,480      12,000      X   X 28-13605     12000
STEELCASE INC                  CL A           858155203      128,544      13,390      X   X 28-5284                          13390
STEIN MART INC                 COM            858375108        1,452         220      X     28-5284                            220
STELLARONE CORP                COM            85856G100       27,301       2,300      X     28-13605      2300
STEMCELLS INC                  COM NEW        85857R204          555         500      X     28-5284        100                 400
STERICYCLE INC                 COM            858912108    1,095,517      13,098      X     28-5284       6638                6460
                                                           1,698,477      20,307      X   X 28-5284       9614               10693
                                                             198,729       2,376      X     28-13605      1386                 990
                                                             406,574       4,861      X   X 28-13605      4861
                                                              36,467         436      X     28-13663                           436
STERIS CORP                    COM            859152100       40,379       1,277      X     28-5284       1277
                                                              72,726       2,300      X   X 28-5284       2300
                                                               3,162         100      X     28-13605       100
STEREOTAXIS INC                COM            85916J102          975       1,500      X     28-5284       1500
STEWART ENTERPRISES INC        CL A           860370105      205,834      33,910      X   X 28-5284                          33910
STEWART INFORMATION SVCS COR   COM            860372101        2,274         160      X     28-5284                            160
STIFEL FINL CORP               COM            860630102      567,562      14,999      X     28-5284       1068               13931
                                                             131,948       3,487      X   X 28-5284        409                3078
                                                               4,995         132      X     28-13605       132
                                                              19,298         510      X     28-13663                           510
STILLWATER MNG CO              COM            86074Q102       12,640       1,000      X     28-5284       1000
                                                              14,928       1,181      X   X 28-5284       1181
STMICROELECTRONICS N V         NY REGISTRY    861012102       28,665       3,500      X   X 28-5284       2000                1500
STONE ENERGY CORP              COM            861642106        9,721         340      X     28-5284                            340
STONERIDGE INC                 COM            86183P102      288,402      29,161      X     28-5284      29161
                                                             292,675      29,593      X     28-13605     29593
               COLUMN TOTAL                                5,877,143






                                                                                                                   FILE NO. 28-1235
 PAGE   227 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
STONEMOR PARTNERS L P          COM UNITS      86183Q100       24,360       1,000      X   X 28-5284       1000
STRATASYS INC                  COM            862685104       47,476       1,300      X     28-5284       1300
                                                              73,040       2,000      X   X 28-5284       2000
STRATTEC SEC CORP              COM            863111100      104,832       4,480      X   X 28-5284       4480
STRAYER ED INC                 COM            863236105       98,900       1,049      X     28-13605      1049
STRYKER CORP                   COM            863667101   10,241,497     184,598      X     28-5284     179728                4870
                                                          29,802,358     537,173      X   X 28-5284     263795              273378
                                                           4,137,698      74,580      X     28-13605     39634               34946
                                                             434,963       7,840      X   X 28-13605      7812        28
                                                             156,676       2,824      X     28-13663      1475                1349
                                                             162,279       2,925      X   X 28-13663      2925
STURM RUGER & CO INC           COM            864159108       26,023         530      X     28-5284        400                 130
                                                             109,591       2,232      X   X 28-5284       2232
                                                             195,958       3,991      X     28-13605      3991
SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104       34,400         800      X     28-5284        800
                                                             125,044       2,908      X   X 28-5284       2908
                                                              21,500         500      X     28-13605       500
SUMITOMO MITSUI FINL GROUP I   SPONSORED ADR  86562M209       23,705       3,570      X     28-5284                           3570
SUN COMMUNITIES INC            COM            866674104       21,665         500      X     28-5284        500
                                                              38,997         900      X   X 28-5284        500                 400
SUN LIFE FINL INC              COM            866796105      282,953      11,944      X     28-5284      11944
                                                             216,313       9,131      X   X 28-5284       5842                3289
SUNCOKE ENERGY INC             COM            86722A103       79,405       5,588      X     28-5284       5493                  95
                                                              36,335       2,557      X   X 28-5284       2546                  11
                                                               4,519         318      X     28-13605       318
                                                              18,828       1,325      X   X 28-13605       795                 530
SUNCOR ENERGY INC NEW          COM            867224107      157,483       4,816      X     28-5284       4816
                                                             681,664      20,846      X   X 28-5284      19316                1530
                                                              62,130       1,900      X     28-13605      1900
                                                             201,105       6,150      X   X 28-13605      6150
               COLUMN TOTAL                               47,621,697






                                                                                                                   FILE NO. 28-1235
 PAGE   228 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108      199,637       5,280      X     28-5284       5280
                                                           1,041,703      27,551      X   X 28-5284      16951               10600
                                                              11,343         300      X   X 28-13605       300
SUNOCO INC                     COM            86764P109      433,231      11,356      X     28-5284      11172                 184
                                                             229,701       6,021      X   X 28-5284       6000                  21
                                                              81,870       2,146      X     28-13605       928                1218
                                                              95,375       2,500      X   X 28-13605      1500                1000
SUNPOWER CORP                  COM            867652406        3,885         609      X     28-5284        609
                                                               6,565       1,029      X   X 28-5284       1029
                                                                  13           2      X     28-13605         2
SUNRISE SENIOR LIVING INC      COM            86768K106        9,480       1,500      X   X 28-5284       1500
SUNSTONE HOTEL INVS INC NEW    COM            867892101        6,818         700      X     28-5284        700
SUNSTONE HOTEL INVS INC NEW    CV 8% CUM PFD- 867892507          247          10      X   X 28-5284         10
SUNTRUST BKS INC               COM            867914103      418,769      17,326      X     28-5284      15130                2196
                                                             773,247      31,992      X   X 28-5284      27663                4329
                                                             479,823      19,852      X     28-13605     12996                6856
                                                           1,469,004      60,778      X   X 28-13605     60778
                                                              10,877         450      X     28-13663       100                 350
SUNTECH PWR HLDGS CO LTD       ADR            86800C104          612         200      X     28-5284        200
                                                                 373         122      X   X 28-5284        122
SUPERIOR ENERGY SVCS INC       COM            868157108       10,149         385      X     28-5284        145                 240
                                                             164,671       6,247      X   X 28-5284        837                5410
                                                             261,913       9,936      X     28-13605      9936
SUPERIOR UNIFORM GP INC        COM            868358102        3,525         300      X     28-5284        300
SUPERTEX INC                   COM            868532102        1,265          70      X     28-5284                             70
SUPERVALU INC                  COM            868536103       62,427      10,933      X     28-5284        795               10138
                                                               1,559         273      X   X 28-5284         15                 258
                                                              16,787       2,940      X     28-13605       632                2308
                                                              11,991       2,100      X   X 28-13605      2000                 100
SURMODICS INC                  COM            868873100        1,844         120      X     28-5284                            120
               COLUMN TOTAL                                5,808,704






                                                                                                                   FILE NO. 28-1235
 PAGE   229 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SUSQUEHANNA BANCSHARES INC P   COM            869099101      208,567      21,110      X     28-5284      20130                 980
                                                             235,302      23,816      X   X 28-5284      19133                4683
                                                             180,379      18,257      X     28-13605     18257
SUSSEX BANCORP                 COM            869245100       54,848      10,650      X   X 28-5284                          10650
SWIFT ENERGY CO                COM            870738101       43,081       1,484      X     28-5284       1194                 290
                                                           1,529,707      52,694      X     28-13605     42156               10538
                                                               8,448         291      X   X 28-13605       291
SWIFT TRANSN CO                CL A           87074U101      177,370      15,370      X   X 28-5284                          15370
SWISHER HYGIENE INC            COM            870808102       36,900      15,000      X   X 28-5284      15000
SWISS HELVETIA FD INC          COM            870875101      144,844      12,921      X     28-5284      12625                 296
                                                              13,609       1,214      X     28-13605      1214
SYKES ENTERPRISES INC          COM            871237103        1,343          85      X     28-13605        85
SYMANTEC CORP                  NOTE  1.000% 6 871503AF5      224,000       2,000      X   X 28-5284       2000
SYMANTEC CORP                  COM            871503108      767,242      41,029      X     28-5284      40238                 791
                                                             642,644      34,366      X   X 28-5284      33729                 637
                                                             294,282      15,737      X     28-13605      7533                8204
                                                              39,738       2,125      X   X 28-13605      1875                 250
                                                               5,348         286      X     28-13663                           286
                                                               8,415         450      X   X 28-13663       450
SYMETRA FINL CORP              COM            87151Q106      272,246      23,612      X     28-13605     23612
SYMMETRICOM INC                COM            871543104        1,673         290      X     28-5284                            290
SYMMETRY MED INC               COM            871546206          707         100      X   X 28-5284        100
SYNGENTA AG                    SPONSORED ADR  87160A100       29,735         432      X     28-5284        400                  32
                                                             609,283       8,852      X   X 28-5284       3325                5527
                                                              75,713       1,100      X   X 28-13605      1100
SYNOPSYS INC                   COM            871607107      121,843       3,974      X     28-5284       3974
                                                             165,196       5,388      X   X 28-5284       4698                 690
                                                               1,533          50      X     28-13605        50
SYNOVUS FINL CORP              COM            87161C105       10,543       5,143      X   X 28-5284       5143
               COLUMN TOTAL                                5,904,539






                                                                                                                   FILE NO. 28-1235
 PAGE   230 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
SYSCO CORP                     COM            871829107   20,402,353     683,267      X     28-5284     674527                8740
                                                          14,011,924     469,254      X   X 28-5284     437242               32012
                                                             823,479      27,578      X     28-13605     20546                7032
                                                             831,511      27,847      X   X 28-13605     27182                 665
                                                              12,691         425      X     28-13663                           425
                                                             238,372       7,983      X   X 28-13663      7983
SYSTEMAX INC                   COM            871851101      168,600      10,000      X     28-5284      10000
TCF FINL CORP                  COM            872275102      122,491      10,302      X     28-5284      10302
                                                             515,479      43,354      X   X 28-5284      32854               10500
TC PIPELINES LP                UT COM LTD PRT 87233Q108      395,648       8,800      X     28-5284       8800
                                                             114,648       2,550      X   X 28-5284       2550
                                                                 225           5      X   X 28-13605         5
TD AMERITRADE HLDG CORP        COM            87236Y108        6,909         350      X     28-5284        350
TECO ENERGY INC                COM            872375100      560,933      31,962      X     28-5284      30093                1869
                                                             852,912      48,599      X   X 28-5284      45099                3500
                                                              70,130       3,996      X     28-13605      1449                2547
                                                              21,060       1,200      X   X 28-13605      1200
TF FINL CORP                   COM            872391107      184,210       7,612      X   X 28-5284       5250                2362
TFS FINL CORP                  COM            87240R107        1,026         108      X   X 28-5284        108
TGC INDS INC                   COM NEW        872417308      500,375      50,441      X     28-5284      50441
                                                             151,786      15,301      X     28-13605     15301
TICC CAPITAL CORP              COM            87244T109       34,090       3,500      X     28-5284       3500
                                                              12,175       1,250      X   X 28-5284       1250
TJX COS INC NEW                COM            872540109    4,047,839     101,935      X     28-5284      98763                3172
                                                           2,751,228      69,283      X   X 28-5284      67893                1390
                                                             849,715      21,398      X     28-13605     12756                8642
                                                             230,556       5,806      X     28-13663      5500                 306
                                                             190,608       4,800      X   X 28-13663      4800
TMS INTL CORP                  CL A           87261Q103      206,692      17,082      X   X 28-5284      17082
TRW AUTOMOTIVE HLDGS CORP      COM            87264S106      247,439       5,327      X     28-5284       3327                2000
                                                             128,806       2,773      X   X 28-5284       1773                1000
               COLUMN TOTAL                               48,685,910






                                                                                                                   FILE NO. 28-1235
 PAGE   231 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TW TELECOM INC                 COM            87311L104       24,287       1,096      X   X 28-5284       1096
TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100    1,288,196      84,306      X     28-5284      84306
                                                           1,040,782      68,114      X   X 28-5284      59220                8894
                                                               3,316         217      X     28-13605       217
                                                               7,655         501      X   X 28-13605       501
                                                              34,884       2,283      X   X 28-13663      2283
TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109      620,108      40,306      X     28-5284        800               39506
                                                             532,398      34,605      X   X 28-5284                          34605
                                                               2,692         175      X     28-13605       175
                                                              35,016       2,276      X     28-13663                          2276
TAL INTL GROUP INC             COM            874083108       14,684         400      X   X 28-5284        400
TALEO CORP                     CL A           87424N104      267,221       5,818      X   X 28-5284        248                5570
TALISMAN ENERGY INC            COM            87425E103      595,854      47,290      X     28-5284      42044                5246
                                                             180,810      14,350      X   X 28-5284       6540                7810
                                                              54,016       4,287      X     28-13605      4287
TANGER FACTORY OUTLET CTRS I   COM            875465106       38,649       1,300      X     28-5284       1300
                                                              77,298       2,600      X   X 28-5284       2600
                                                              96,385       3,242      X     28-13605      3242
TARGA RESOURCES PARTNERS LP    COM UNIT       87611X105      638,638      15,400      X     28-5284      15400
                                                             305,178       7,359      X   X 28-5284       7359
TARGET CORP                    COM            87612E106   97,370,685   1,671,026      X     28-5284    1660806               10220
                                                          20,160,429     345,983      X   X 28-5284     339280                6703
                                                          10,491,397     180,048      X     28-13605    172076                7972
                                                           1,760,628      30,215      X   X 28-13605     29165                1050
                                                              43,003         738      X     28-13663       610                 128
                                                              87,405       1,500      X   X 28-13663      1500
TARGA RES CORP                 COM            87612G101      100,081       2,202      X   X 28-5284        684                1518
TASEKO MINES LTD               COM            876511106        1,408         400      X   X 28-5284        400
TATA MTRS LTD                  SPONSORED ADR  876568502       39,241       1,455      X     28-5284       1455
                                                              39,107       1,450      X   X 28-5284       1450
               COLUMN TOTAL                              135,951,451






                                                                                                                   FILE NO. 28-1235
 PAGE   232 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TAUBMAN CTRS INC               COM            876664103       85,716       1,175      X     28-5284        995                 180
                                                             949,590      13,017      X   X 28-5284        372               12645
TEAM HEALTH HOLDINGS INC       COM            87817A107      243,225      11,830      X   X 28-5284                          11830
TECH DATA CORP                 COM            878237106      117,473       2,165      X     28-5284        545                1620
                                                             385,355       7,102      X   X 28-5284        282                6820
TECHNE CORP                    COM            878377100       84,120       1,200      X     28-5284       1200
                                                           1,722,918      24,578      X   X 28-5284      20553                4025
                                                              57,762         824      X     28-13605       824
                                                             519,371       7,409      X   X 28-13605      6794                 615
TECK RESOURCES LTD             CL B           878742204      133,939       3,756      X     28-5284       3356                 400
                                                             104,769       2,938      X   X 28-5284       1438                1500
                                                               2,175          61      X   X 28-13605        61
TEJON RANCH CO                 COM            879080109       12,172         425      X     28-5284        425
TELECOM ITALIA S P A NEW       SPON ADR SVGS  87927Y201      117,538      12,080      X     28-5284                          12080
                                                             164,359      16,892      X   X 28-5284                          16892
                                                               3,289         338      X   X 28-13605       338
TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208       11,329       1,142      X     28-5284       1142
                                                             337,280      34,000      X   X 28-5284      34000
                                                               5,039         508      X   X 28-13605       508
TELEFONICA BRASIL SA           SPONSORED ADR  87936R106       76,575       2,500      X     28-5284       2500
TELEDYNE TECHNOLOGIES INC      COM            879360105       59,015         936      X     28-5284        686                 250
TELEFLEX INC                   COM            879369106    1,905,984      31,169      X     28-5284      20795               10374
                                                             586,612       9,593      X   X 28-5284       8544                1049
                                                              16,327         267      X     28-13663                           267
                                                             366,900       6,000      X   X 28-13663      6000
TELEFONICA S A                 SPONSORED ADR  879382208      393,676      23,990      X     28-5284      23990
                                                             476,415      29,032      X   X 28-5284      29032
                                                               4,070         248      X     28-13605       248
                                                               7,401         451      X   X 28-13605       451
TELEPHONE & DATA SYS INC       COM NEW        879433829       14,793         639      X   X 28-5284        639
               COLUMN TOTAL                                8,965,187






                                                                                                                   FILE NO. 28-1235
 PAGE   233 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TELLABS INC                    COM            879664100        8,043       1,986      X     28-5284        252                1734
                                                               1,725         426      X   X 28-5284                            426
                                                               4,451       1,099      X     28-13605      1039                  60
                                                               3,483         860      X   X 28-13605       860
TELUS CORP                     NON-VTG SHS    87971M202       28,420         500      X     28-5284        500
                                                             295,568       5,200      X   X 28-5284       5200
TEMPLETON DRAGON FD INC        COM            88018T101       21,263         750      X     28-5284        750
                                                             277,830       9,800      X   X 28-5284       9800
TEMPLETON EMERGING MKTS FD I   COM            880191101      211,444      10,810      X   X 28-5284      10810
TEMPLETON EMERG MKTS INCOME    COM            880192109       46,256       2,950      X     28-5284       2950
                                                             222,828      14,211      X   X 28-5284      10750                3461
TEMPLETON GLOBAL INCOME FD     COM            880198106      227,393      23,564      X     28-5284      23564
                                                             120,625      12,500      X   X 28-5284      12500
TEMPUR PEDIC INTL INC          COM            88023U101       77,676         920      X   X 28-5284        920
TENARIS S A                    SPONSORED ADR  88031M109        1,912          50      X     28-5284         50
                                                              47,788       1,250      X   X 28-5284                           1250
TENET HEALTHCARE CORP          COM            88033G100       75,561      14,230      X     28-5284      12977                1253
                                                              13,296       2,504      X   X 28-5284       2504
                                                              29,364       5,530      X     28-13605      1201                4329
                                                                 621         117      X     28-13663                           117
TENNECO INC                    COM            880349105       14,377         387      X     28-5284        387
                                                             198,195       5,335      X   X 28-5284         95                5240
TERADATA CORP DEL              COM            88076W103      313,694       4,603      X     28-5284       4053                 550
                                                             314,921       4,621      X   X 28-5284       4304                 317
                                                             182,574       2,679      X     28-13605       771                1908
                                                              11,722         172      X   X 28-13605       136                  36
                                                               3,271          48      X     28-13663                            48
TERADYNE INC                   COM            880770102       39,742       2,353      X     28-5284       1324                1029
                                                              23,781       1,408      X   X 28-5284       1351                  57
                                                              44,539       2,637      X     28-13605       567                2070
               COLUMN TOTAL                                2,862,363






                                                                                                                   FILE NO. 28-1235
 PAGE   234 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TEREX CORP NEW                 COM            880779103      405,810      18,036      X     28-5284       2740               15296
                                                             951,593      42,293      X   X 28-5284      40061                2232
                                                              12,443         553      X     28-13663                           553
TERNIUM SA                     SPON ADR       880890108        4,783         202      X   X 28-5284        202
TERRA NITROGEN CO L P          COM UNIT       881005201      369,930       1,475      X     28-5284       1475
                                                              37,620         150      X   X 28-5284        150
TESCO CORP                     COM            88157K101        2,696         190      X     28-13605       190
TESLA MTRS INC                 COM            88160R101      209,438       5,624      X     28-5284       5624
                                                              17,317         465      X   X 28-5284        465
                                                              20,556         552      X     28-13605       552
                                                               5,996         161      X   X 28-13605       161
TESORO CORP                    COM            881609101       34,758       1,295      X     28-5284        700                 595
                                                             817,922      30,474      X   X 28-5284      24194                6280
                                                              53,948       2,010      X     28-13605       426                1584
                                                                 537          20      X     28-13663                            20
TETRA TECHNOLOGIES INC DEL     COM            88162F105        4,936         524      X     28-5284                            524
TETRA TECH INC NEW             COM            88162G103       18,452         700      X     28-5284        300                 400
TEVA PHARMACEUTICAL INDS LTD   ADR            881624209   22,849,971     507,101      X     28-5284     429065               78036
                                                          17,870,075     396,584      X   X 28-5284     324557               72027
                                                           2,632,090      58,413      X     28-13605     57838                 575
                                                           1,047,510      23,247      X   X 28-13605     23247
                                                             417,030       9,255      X     28-13663      4350                4905
                                                              97,780       2,170      X   X 28-13663      2170
TEVA PHARMACEUTICAL FIN LLC    DBCV  0.250% 2 88163VAE9      439,500       4,000      X   X 28-5284       4000
TEXAS CAPITAL BANCSHARES INC   COM            88224Q107       34,620       1,000      X   X 28-5284                           1000
TEXAS INDS INC                 COM            882491103        6,652         190      X     28-5284                            190
                                                             245,070       7,000      X   X 28-5284       7000
               COLUMN TOTAL                               48,609,033






                                                                                                                   FILE NO. 28-1235
 PAGE   235 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TEXAS INSTRS INC               COM            882508104   12,798,184     380,785      X     28-5284     367320               13465
                                                           7,134,260     212,266      X   X 28-5284     188461               23805
                                                           1,324,940      39,421      X     28-13605     26421               13000
                                                             372,063      11,070      X   X 28-13605     10720                 350
                                                              89,974       2,677      X     28-13663      2500                 177
                                                              91,587       2,725      X   X 28-13663      2725
TEXAS PAC LD TR                SUB CTF PROP I 882610108       23,570         500      X     28-5284        500
                                                              47,140       1,000      X   X 28-5284       1000
                                                              87,209       1,850      X     28-13605      1850
TEXAS ROADHOUSE INC            COM            882681109    4,995,195     300,192      X     28-5284     272930               27262
                                                              66,077       3,971      X   X 28-5284                           3971
                                                               3,661         220      X     28-13605       220
                                                              16,573         996      X     28-13663                           996
TEXTRON INC                    COM            883203101      408,600      14,682      X     28-5284      12368                2314
                                                             323,412      11,621      X   X 28-5284      11518                 103
                                                             135,449       4,867      X     28-13605      1712                3155
                                                              22,264         800      X   X 28-13605       800
                                                               6,150         221      X     28-13663                           221
THERATECHNOLOGIES INC          COM            88338H100      109,090      54,545      X     28-5284                          54545
THERMO FISHER SCIENTIFIC INC   COM            883556102    3,254,310      57,721      X     28-5284      29281               28440
                                                           4,360,880      77,348      X   X 28-5284      58804               18544
                                                             303,324       5,380      X     28-13605      1320                4060
                                                             124,149       2,202      X   X 28-13605      2202
                                                             103,965       1,844      X     28-13663                          1844
THOMAS & BETTS CORP            COM            884315102      398,741       5,545      X     28-5284       5545
                                                             121,528       1,690      X   X 28-5284       1690
THOMSON REUTERS CORP           COM            884903105        8,612         298      X     28-5284        298
                                                             162,649       5,628      X   X 28-5284       5628
THORATEC CORP                  COM NEW        885175307      607,623      18,025      X     28-5284        364               17661
                                                             243,251       7,216      X   X 28-5284       1074                6142
                                                              24,811         736      X     28-13663                           736
               COLUMN TOTAL                               37,769,241






                                                                                                                   FILE NO. 28-1235
 PAGE   236 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
3-D SYS CORP DEL               COM NEW        88554D205        7,062         300      X     28-5284        300
                                                             414,304      17,600      X   X 28-5284       2550               15050
                                                              35,310       1,500      X     28-13605                          1500
                                                              98,868       4,200      X   X 28-13605      4200
3M CO                          COM            88579Y101  123,876,382   1,388,593      X     28-5284    1352665               35928
                                                         116,049,721   1,300,860      X   X 28-5284    1241841               59019
                                                          11,200,762     125,555      X     28-13605    117502                8053
                                                          15,274,982     171,225      X   X 28-13605    153616               17609
                                                           1,670,814      18,729      X     28-13663     16100                2629
                                                           2,139,434      23,982      X   X 28-13663     23982
THRESHOLD PHARMACEUTICAL INC   COM NEW        885807206       13,200       1,500      X     28-5284       1500
TIBCO SOFTWARE INC             COM            88632Q103      122,641       4,021      X     28-5284       4021
                                                              47,306       1,551      X   X 28-5284       1551
TIDEWATER INC                  COM            886423102       11,020         204      X     28-5284        204
                                                              15,450         286      X   X 28-5284        286
                                                              27,010         500      X   X 28-13605       500
TIFFANY & CO NEW               COM            886547108    6,744,876      97,568      X     28-5284      95147                2421
                                                           4,543,984      65,731      X   X 28-5284      60480                5251
                                                             611,317       8,843      X     28-13605      7387                1456
                                                             325,741       4,712      X   X 28-13605      4712
                                                              95,676       1,384      X     28-13663      1367                  17
                                                              34,565         500      X   X 28-13663       500
TIM HORTONS INC                COM            88706M103      104,510       1,952      X     28-5284       1932                  20
                                                              66,229       1,237      X   X 28-5284       1237
                                                              43,474         812      X   X 28-13605       812
TIM PARTICIPACOES S A          SPONSORED ADR  88706P205        2,903          90      X     28-5284         90
                                                               4,194         130      X   X 28-5284        130
TIME WARNER INC                COM NEW        887317303    1,594,824      42,247      X     28-5284      34385                7862
                                                           1,158,246      30,682      X   X 28-5284      28391                2291
                                                             574,933      15,230      X     28-13605      3947               11283
                                                             170,026       4,504      X   X 28-13605      4504
                                                              10,344         274      X     28-13663                           274
                                                              20,121         533      X   X 28-13663       533
               COLUMN TOTAL                              287,110,229






                                                                                                                   FILE NO. 28-1235
 PAGE   237 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TIME WARNER CABLE INC          COM            88732J207      847,600      10,400      X     28-5284       9443                 957
                                                             650,452       7,981      X   X 28-5284       5582                2399
                                                           3,151,442      38,668      X     28-13605     35043                3625
                                                             103,016       1,264      X   X 28-13605      1264
                                                               3,016          37      X     28-13663                            37
                                                              10,840         133      X   X 28-13663       133
TIMKEN CO                      COM            887389104      115,078       2,268      X     28-5284       1308                 960
                                                             317,379       6,255      X   X 28-5284       5355                 900
TITAN INTL INC ILL             COM            88830M102      240,994      10,190      X   X 28-5284        420                9770
TITAN MACHY INC                COM            88830R101       67,962       2,410      X   X 28-5284        500                1910
                                                               2,256          80      X     28-13605        80
TITANIUM METALS CORP           COM NEW        888339207       91,883       6,776      X     28-5284       6466                 310
                                                              58,105       4,285      X   X 28-5284       4103                 182
                                                              15,987       1,179      X     28-13605       251                 928
TIVO INC                       COM            888706108       23,980       2,000      X   X 28-5284       2000
TOLL BROTHERS INC              COM            889478103      130,386       5,435      X   X 28-5284       5435
                                                               7,197         300      X   X 28-13605       300
TOMPKINS FINANCIAL CORPORATI   COM            890110109       15,704         392      X     28-5284        392
TOOTSIE ROLL INDS INC          COM            890516107      152,008       6,635      X   X 28-5284       4635                2000
TORCHMARK CORP                 COM            891027104      993,511      19,930      X     28-5284      18089                1841
                                                           2,602,669      52,210      X   X 28-5284      51954                 256
                                                              70,139       1,407      X     28-13605       298                1109
                                                             299,100       6,000      X   X 28-13605      6000
                                                               3,091          62      X     28-13663                            62
TORO CO                        COM            891092108      256,707       3,610      X     28-5284       3400                 210
                                                             894,564      12,580      X   X 28-5284      10580                2000
                                                               4,551          64      X     28-13605        64
                                                             216,174       3,040      X   X 28-13605      3040
TORONTO DOMINION BK ONT        COM NEW        891160509    3,011,223      35,447      X     28-5284      35365                  82
                                                             446,667       5,258      X   X 28-5284       3011                2247
               COLUMN TOTAL                               14,803,681






                                                                                                                   FILE NO. 28-1235
 PAGE   238 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TORTOISE ENERGY INFRSTRCTR C   COM            89147L100      167,930       4,074      X     28-5284       4074
                                                             667,764      16,200      X   X 28-5284      16200
                                                               2,638          64      X     28-13605        64
TORTOISE CAP RES CORP          COM            89147N304        8,980       1,031      X   X 28-5284       1031
TORTOISE NORTH AMRN ENRGY CO   COM            89147T103       25,650       1,000      X     28-5284       1000
TORTOISE ENERGY CAP CORP       COM            89147U100       28,340       1,000      X     28-5284       1000
TORTOISE MLP FD INC            COM            89148B101       56,364       2,200      X     28-5284       2200
                                                             286,944      11,200      X   X 28-5284      11200
TORTOISE PIPELINE & ENERGY F   COM            89148H108       12,450         500      X     28-5284        500
TOTAL S A                      SPONSORED ADR  89151E109    2,816,252      55,091      X     28-5284      53651                1440
                                                             797,728      15,605      X   X 28-5284       9755                5850
                                                              35,017         685      X     28-13605       685
                                                              63,951       1,251      X   X 28-13605      1251
                                                              52,142       1,020      X     28-13663      1020
TOWER GROUP INC                COM            891777104      142,386       6,348      X     28-5284                           6348
TOWER INTL INC                 COM            891826109       12,180       1,000      X     28-5284       1000
TOWERS WATSON & CO             CL A           891894107      210,565       3,187      X     28-5284                           3187
                                                              19,887         301      X   X 28-5284        301
                                                             138,879       2,102      X   X 28-13605                          2102
TOTAL SYS SVCS INC             COM            891906109       20,140         873      X     28-5284                            873
                                                              25,908       1,123      X   X 28-5284       1041                  82
                                                              52,900       2,293      X     28-13605       479                1814
                                                               3,437         149      X     28-13663                           149
TOWN SPORTS INTL HLDGS INC     COM            89214A102      132,527      10,493      X     28-13605     10493
TOYOTA MOTOR CORP              SP ADR REP2COM 892331307      592,547       6,825      X     28-5284       3647                3178
                                                             464,747       5,353      X   X 28-5284       2770                2583
                                                               2,431          28      X   X 28-13605        28
               COLUMN TOTAL                                6,840,684






                                                                                                                   FILE NO. 28-1235
 PAGE   239 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TRACTOR SUPPLY CO              COM            892356106    1,937,350      21,393      X     28-5284      12385                9008
                                                           1,680,884      18,561      X   X 28-5284       9746                8815
                                                           2,318,155      25,598      X     28-13605     20656                4942
                                                              12,950         143      X   X 28-13605       143
                                                             130,406       1,440      X     28-13663                          1440
                                                             541,096       5,975      X   X 28-13663      5975
TPC GROUP INC                  COM            89236Y104      107,740       2,437      X     28-13605      2437
TRANSCANADA CORP               COM            89353D107       81,098       1,886      X     28-5284       1886
                                                             974,337      22,659      X   X 28-5284      14109                8550
TRANSDIGM GROUP INC            COM            893641100       22,457         194      X     28-5284        194
                                                              47,346         409      X   X 28-5284        409
                                                             262,544       2,268      X     28-13605      2268
TRANSGLOBE ENERGY CORP         COM            893662106      154,153      12,761      X     28-13605     12761
TRANSMONTAIGNE PARTNERS L P    COM UNIT L P   89376V100       13,904         400      X   X 28-5284        400
TRANSOCEAN INC                 NOTE  1.500%12 893830AW9   24,750,000     250,000      X     28-5284     250000
                                                             396,000       4,000      X   X 28-5284       4000
TRANSCEND SERVICES INC         COM NEW        893929208      220,125       7,500      X     28-5284       7500
TRAVELERS COMPANIES INC        COM            89417E109   18,207,611     307,561      X     28-5284     304596                2965
                                                           9,027,763     152,496      X   X 28-5284     147177                5319
                                                           3,984,930      67,313      X     28-13605     62868                4445
                                                             665,349      11,239      X   X 28-13605      8040                3199
                                                             137,403       2,321      X     28-13663      2089                 232
                                                             310,741       5,249      X   X 28-13663      5249
TRAVELCENTERS OF AMERICA LLC   COM            894174101          235          37      X   X 28-5284         37
TREDEGAR CORP                  COM            894650100        3,134         160      X     28-5284                            160
TREE COM INC                   COM            894675107           15           2      X   X 28-5284          2
TREEHOUSE FOODS INC            COM            89469A104      502,954       8,453      X     28-5284        613                7840
                                                              67,771       1,139      X   X 28-5284                           1139
                                                           1,803,624      30,313      X     28-13605     24346                5967
                                                               9,996         168      X   X 28-13605       168
                                                              17,077         287      X     28-13663                           287
               COLUMN TOTAL                               68,389,148






                                                                                                                   FILE NO. 28-1235
 PAGE   240 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TREX CO INC                    COM            89531P105       47,799       1,490      X     28-5284       1490
TRI CONTL CORP                 COM            895436103      110,708       6,954      X   X 28-5284       6954
TRIANGLE CAP CORP              COM            895848109       39,500       2,000      X   X 28-5284       2000
TRIMAS CORP                    COM NEW        896215209        2,105          94      X     28-13605        94
TRIMBLE NAVIGATION LTD         COM            896239100    1,439,300      26,448      X     28-5284      26448
                                                           1,695,945      31,164      X   X 28-5284      14748               16416
                                                             521,452       9,582      X     28-13605      9582
                                                             710,616      13,058      X   X 28-13605     12058                1000
                                                             115,643       2,125      X   X 28-13663      2125
TRINITY INDS INC               COM            896522109      127,517       3,870      X     28-5284       1050                2820
                                                             617,121      18,729      X   X 28-5284       5369               13360
TRIQUINT SEMICONDUCTOR INC     COM            89674K103       78,603      11,400      X     28-5284      11400
                                                              48,955       7,100      X   X 28-5284                           7100
TRIUMPH GROUP INC NEW          COM            896818101      600,408       9,582      X     28-5284       9582
                                                             213,357       3,405      X   X 28-5284        115                3290
                                                           2,565,864      40,949      X     28-13605     33528                7421
                                                              13,033         208      X   X 28-13605       208
TRIPADVISOR INC                COM            896945201       13,911         390      X     28-5284        131                 259
                                                              23,435         657      X   X 28-5284        633                  24
                                                              10,451         293      X     28-13605       277                  16
                                                               3,888         109      X   X 28-13605       109
                                                               2,497          70      X     28-13663                            70
TRUE RELIGION APPAREL INC      COM            89784N104       78,501       2,865      X     28-13605      2865
TRUSTCO BK CORP N Y            COM            898349105        7,537       1,320      X     28-5284        710                 610
                                                              25,695       4,500      X   X 28-5284                           4500
TRUSTMARK CORP                 COM            898402102       30,376       1,216      X     28-5284       1216
TUPPERWARE BRANDS CORP         COM            899896104      197,485       3,110      X     28-5284       3110
                                                              80,963       1,275      X   X 28-5284       1275
                                                             331,724       5,224      X     28-13605      5224
                                                              19,050         300      X   X 28-13605       300
               COLUMN TOTAL                                9,773,439






                                                                                                                   FILE NO. 28-1235
 PAGE   241 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
TURKCELL ILETISIM HIZMETLERI   SPON ADR NEW   900111204       19,354       1,536      X     28-5284       1536
TURKISH INVT FD INC            COM            900145103       13,650       1,000      X     28-5284       1000
TWIN DISC INC                  COM            901476101        7,827         300      X     28-5284        300
TWO HBRS INVT CORP             COM            90187B101       67,390       6,646      X     28-5284       6646
                                                              22,937       2,262      X   X 28-5284       2262
II VI INC                      COM            902104108      243,595      10,300      X     28-5284      10300
                                                             512,117      21,654      X   X 28-5284      10670               10984
                                                              31,928       1,350      X     28-13605       150                1200
                                                             183,288       7,750      X   X 28-13605      7750
TYLER TECHNOLOGIES INC         COM            902252105    2,856,629      74,372      X     28-13605     61103               13269
                                                              14,327         373      X   X 28-13605       373
TYSON FOODS INC                CL A           902494103       48,047       2,509      X     28-5284       1473                1036
                                                             107,202       5,598      X   X 28-5284       5282                 316
                                                              81,273       4,244      X     28-13605       893                3351
                                                              19,150       1,000      X   X 28-13605      1000
UBS AG JERSEY BRH              ALERIAN INFRST 902641646       11,986         358      X     28-5284        358
UBS AG JERSEY BRH              CMCI ETN 38    902641778       41,618       1,835      X     28-13605      1835
UDR INC                        COM            902653104      107,454       4,023      X     28-5284       4023
                                                             256,683       9,610      X   X 28-5284       9610
                                                              14,423         540      X   X 28-13605       540
UGI CORP NEW                   COM            902681105      238,983       8,770      X     28-5284       8770
                                                             354,168      12,997      X   X 28-5284      12997
                                                              81,750       3,000      X     28-13605      3000
UIL HLDG CORP                  COM            902748102       50,854       1,463      X     28-5284       1133                 330
                                                              72,996       2,100      X   X 28-5284       1000                1100
UMB FINL CORP                  COM            902788108      572,921      12,807      X     28-5284        783               12024
                                                              79,852       1,785      X   X 28-5284         43                1742
                                                              19,549         437      X     28-13663                           437
               COLUMN TOTAL                                6,131,951






                                                                                                                   FILE NO. 28-1235
 PAGE   242 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
US BANCORP DEL                 COM NEW        902973304   61,812,274   1,951,145      X     28-5284    1938220               12925
                                                          23,319,426     736,093      X   X 28-5284     680339               55754
                                                          14,428,434     455,443      X     28-13605    342190              113253
                                                           2,828,929      89,297      X   X 28-13605     85318        79      3900
                                                              77,901       2,459      X     28-13663      1904                 555
                                                             399,326      12,605      X   X 28-13663     11707                 898
U M H PROPERTIES INC           COM            903002103        1,096         100      X   X 28-5284        100
UQM TECHNOLOGIES INC           COM            903213106        3,404       2,300      X     28-5284       2300
URS CORP NEW                   COM            903236107      218,935       5,149      X     28-5284       5149
                                                             129,346       3,042      X   X 28-5284       3042
                                                               5,315         125      X     28-13605       125
                                                               8,504         200      X   X 28-13605       200
USANA HEALTH SCIENCES INC      COM            90328M107      201,582       5,400      X     28-5284       5400
USA TECHNOLOGIES INC           COM NO PAR     90328S500        7,194       5,620      X     28-5284       5620
                                                                 490         383      X   X 28-5284        383
U S G CORP                     COM NEW        903293405       77,400       4,500      X   X 28-5284       4500
USEC INC                       NOTE  3.000%10 90333EAC2       99,000       2,000      X     28-5284       2000
USEC INC                       COM            90333E108       35,510      33,500      X   X 28-5284      24000                9500
U S PHYSICAL THERAPY INC       COM            90337L108       96,257       4,176      X     28-13605      4176
U S GEOTHERMAL INC             COM            90338S102          140         270      X     28-5284        270
ULTA SALON COSMETCS & FRAG I   COM            90384S303      142,215       1,531      X     28-5284       1531
                                                              39,385         424      X   X 28-5284        424
                                                              80,164         863      X     28-13605       863
ULTRA PETROLEUM CORP           COM            903914109      405,643      17,925      X   X 28-5284       1900               16025
                                                              41,866       1,850      X     28-13605       750                1100
                                                             487,224      21,530      X   X 28-13605     21530
ULTRAPAR PARTICIPACOES S A     SP ADR REP COM 90400P101        1,388          64      X     28-5284         64
                                                              84,591       3,900      X   X 28-5284                           3900
ULTRATECH INC                  COM            904034105        5,216         180      X     28-5284                            180
               COLUMN TOTAL                              105,038,155






                                                                                                                   FILE NO. 28-1235
 PAGE   243 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UMPQUA HLDGS CORP              COM            904214103       13,560       1,000      X     28-5284       1000
                                                             226,859      16,730      X   X 28-5284                          16730
                                                             227,076      16,746      X     28-13605     16746
UNDER ARMOUR INC               CL A           904311107       61,852         658      X     28-5284        658
                                                              71,910         765      X   X 28-5284        765
                                                             110,920       1,180      X     28-13605      1180
                                                               9,400         100      X   X 28-13605                           100
UNILEVER PLC                   SPON ADR NEW   904767704      281,256       8,510      X     28-5284       7640                 870
                                                             552,332      16,712      X   X 28-5284      16712
                                                             160,590       4,859      X     28-13605      4859
                                                             282,214       8,539      X   X 28-13605      8539
UNILEVER N V                   N Y SHS NEW    904784709    7,016,271     206,179      X     28-5284     203169                3010
                                                          12,189,410     358,196      X   X 28-5284     352164                6032
                                                             213,164       6,264      X     28-13605      6264
                                                             500,309      14,702      X   X 28-13605     14702
                                                             157,287       4,622      X   X 28-13663      4622
UNION BANKSHARES INC           COM            905400107       76,760       4,000      X   X 28-5284       4000
UNION PAC CORP                 COM            907818108   79,607,427     740,672      X     28-5284     729395               11277
                                                          43,811,105     407,621      X   X 28-5284     395326               12295
                                                          38,080,379     354,302      X     28-13605    323375               30927
                                                          11,301,415     105,149      X   X 28-13605     99738        75      5336
                                                             777,510       7,234      X     28-13663      6501                 733
                                                           1,132,302      10,535      X   X 28-13663     10535
UNISOURCE ENERGY CORP          COM            909205106       16,091         440      X     28-5284        180                 260
UNISYS CORP                    COM NEW        909214306        5,147         261      X     28-5284        261
                                                              19,464         987      X   X 28-5284        987
UNIT CORP                      COM            909218109      285,551       6,678      X     28-5284       4000                2678
                                                             337,804       7,900      X   X 28-5284       1134                6766
UNITED CMNTY BKS BLAIRSVLE G   COM            90984P303       97,500      10,000      X     28-5284      10000
UNITED BANKSHARES INC WEST V   COM            909907107      200,692       6,954      X     28-5284       6624                 330
                                                              82,251       2,850      X   X 28-5284       2850
UNITED BANCORP INC OHIO        COM            909911109       56,145       5,700      X     28-5284       5700
               COLUMN TOTAL                              197,961,953






                                                                                                                   FILE NO. 28-1235
 PAGE   244 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNITED CONTL HLDGS INC         COM            910047109       18,189         846      X     28-5284        846
                                                             257,871      11,994      X   X 28-5284      11994
UNITED FINANCIAL BANCORP INC   COM            91030T109       47,460       3,000      X   X 28-5284                           3000
UNITED FIRE GROUP INC          COM            910340108       82,795       4,628      X     28-5284       4628
                                                              60,826       3,400      X   X 28-5284                           3400
UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          262         107      X   X 28-5284        107
UNITED NAT FOODS INC           COM            911163103      614,512      13,170      X     28-5284       2290               10880
                                                             134,381       2,880      X   X 28-5284       1235                1645
                                                              17,871         383      X     28-13663                           383
UNITED ONLINE INC              COM            911268100      114,915      23,500      X   X 28-5284      23500
UNITED PARCEL SERVICE INC      CL B           911312106   86,198,789   1,067,874      X     28-5284     895912              171962
                                                          25,823,862     319,919      X   X 28-5284     310479                9440
                                                           3,782,620      46,861      X     28-13605     35919               10942
                                                           1,489,849      18,457      X   X 28-13605     18022                 435
                                                             442,991       5,488      X     28-13663      4089                1399
                                                             403,600       5,000      X   X 28-13663      5000
UNITED RENTALS INC             COM            911363109       42,890       1,000      X     28-5284       1000
                                                             151,273       3,527      X     28-13605      3527
UNITED STATES CELLULAR CORP    COM            911684108        2,906          71      X   X 28-5284         71
UNITED STATES OIL FUND LP      UNITS          91232N108       28,089         716      X     28-5284        716
                                                              14,162         361      X   X 28-5284        361
UNITED STATES STL CORP NEW     COM            912909108    2,601,448      88,575      X     28-5284       8544               80031
                                                             179,568       6,114      X   X 28-5284       5883                 231
                                                              54,981       1,872      X     28-13605       401                1471
                                                              64,614       2,200      X   X 28-13605      2200
                                                               3,201         109      X     28-13663                           109
UNITED STATIONERS INC          COM            913004107        9,619         310      X     28-5284                            310
               COLUMN TOTAL                              122,643,544






                                                                                                                   FILE NO. 28-1235
 PAGE   245 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNITED TECHNOLOGIES CORP       COM            913017109  148,228,129   1,787,173      X     28-5284    1758777               28396
                                                          82,448,581     994,075      X   X 28-5284     953572               40503
                                                          53,073,970     639,908      X     28-13605    602349               37559
                                                          20,510,730     247,296      X   X 28-13605    237171       135      9990
                                                             886,297      10,686      X     28-13663     10262                 424
                                                           1,946,851      23,473      X   X 28-13663     23473
UNITED THERAPEUTICS CORP DEL   COM            91307C102      337,592       7,163      X     28-5284        506                6657
                                                             283,581       6,017      X   X 28-5284        214                5803
                                                               2,828          60      X     28-13605        60
                                                              11,453         243      X     28-13663                           243
UNITEDHEALTH GROUP INC         COM            91324P102   49,128,022     833,526      X     28-5284     789046               44480
                                                          19,858,949     336,935      X   X 28-5284     290477               46458
                                                          44,237,947     750,559      X     28-13605    666420               84139
                                                           7,827,232     132,800      X   X 28-13605    128160       193      4447
                                                             524,979       8,907      X     28-13663      5298                3609
                                                             144,933       2,459      X   X 28-13663      2459
UNIVERSAL AMERN CORP NEW       COM            91338E101       36,975       3,430      X     28-5284                           3430
                                                             135,397      12,560      X   X 28-5284                          12560
UNIVERSAL CORP VA              COM            913456109       23,300         500      X   X 28-5284        500
UNIVERSAL DISPLAY CORP         COM            91347P105       28,274         774      X     28-5284        774
                                                             105,572       2,890      X   X 28-5284       2590                 300
UNIVERSAL ELECTRS INC          COM            913483103       18,082         905      X     28-5284        905
                                                               4,196         210      X   X 28-5284        210
                                                                 500          25      X     28-13605                            25
UNIVERSAL FST PRODS INC        COM            913543104        4,482         130      X     28-5284                            130
                                                               2,414          70      X     28-13605        70
UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105       73,316       1,850      X   X 28-5284        500                1350
                                                               3,963         100      X   X 28-13605       100
UNIVERSAL INS HLDGS INC        COM            91359V107      197,729      50,830      X     28-5284      50830
UNIVERSAL HLTH SVCS INC        CL B           913903100      322,539       7,696      X     28-5284       7696
                                                              79,000       1,885      X   X 28-5284       1285                 600
                                                              12,573         300      X     28-13605       300
                                                              16,764         400      X     28-13663       400
               COLUMN TOTAL                              430,517,150






                                                                                                                   FILE NO. 28-1235
 PAGE   246 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
UNIVEST CORP PA                COM            915271100        8,390         500      X   X 28-5284                            500
                                                             338,637      20,181      X     28-13605     20181
UNUM GROUP                     COM            91529Y106       49,425       2,019      X     28-5284       1096                 923
                                                             145,558       5,946      X   X 28-5284       5810                 136
                                                             122,596       5,008      X     28-13605      1741                3267
                                                              21,469         877      X   X 28-13605       877
URANIUM ENERGY CORP            COM            916896103        1,560         400      X   X 28-13605       400
URBAN OUTFITTERS INC           COM            917047102       63,314       2,175      X     28-5284       2175
                                                              95,597       3,284      X   X 28-5284       2507                 777
                                                             157,252       5,402      X     28-13605      4056                1346
                                                             100,051       3,437      X   X 28-13605      3437
URSTADT BIDDLE PPTYS INS       COM            917286106        9,350         500      X   X 28-13605       500
URSTADT BIDDLE PPTYS INS       CL A           917286205       13,818         700      X     28-5284        700
                                                              39,480       2,000      X   X 28-13605      2000
US ECOLOGY INC                 COM            91732J102        2,391         110      X     28-13605       110
UTAH MED PRODS INC             COM            917488108        9,330         300      X     28-5284        300
VCA ANTECH INC                 COM            918194101       17,686         762      X   X 28-5284        762
V F CORP                       COM            918204108    2,498,886      17,118      X     28-5284      16030                1088
                                                        3111,552,168  21,314,921      X   X 28-5284   21314620                 301
                                                             237,509       1,627      X     28-13605       623                1004
                                                             248,312       1,701      X   X 28-13605      1701
                                                              16,058         110      X     28-13663        85                  25
                                                          50,670,388     347,105      X   X 28-13663    347105
VOC ENERGY TR                  TR UNIT        91829B103       22,110       1,000      X     28-5284       1000
VAIL RESORTS INC               COM            91879Q109       65,740       1,520      X     28-5284                           1520
                                                             352,055       8,140      X   X 28-5284                           8140
VALHI INC NEW                  COM            918905100       19,575         369      X     28-5284        369
VALEANT PHARMACEUTICALS INTL   COM            91911K102      230,974       4,302      X     28-5284       4302
                                                             467,908       8,715      X   X 28-5284       8715
               COLUMN TOTAL                            3,167,577,587






                                                                                                                   FILE NO. 28-1235
 PAGE   247 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VALE S A                       ADR            91912E105      211,090       9,048      X     28-5284       9048
                                                              80,955       3,470      X   X 28-5284       3470
                                                              48,760       2,090      X     28-13605      2090
VALE S A                       ADR REPSTG PFD 91912E204       34,670       1,528      X     28-5284       1528
                                                              73,743       3,250      X   X 28-5284                           3250
VALERO ENERGY CORP NEW         COM            91913Y100      326,016      12,651      X     28-5284       8144                4507
                                                             901,228      34,972      X   X 28-5284      34440                 532
                                                             219,019       8,499      X     28-13605      2074                6425
                                                              63,137       2,450      X   X 28-13605      2450
                                                                 541          21      X     28-13663                            21
VALLEY NATL BANCORP            COM            919794107      288,461      22,275      X     28-5284       8110               14165
                                                              17,288       1,335      X   X 28-5284        363                 972
                                                             158,612      12,248      X     28-13605     12248
VALMONT INDS INC               COM            920253101      271,804       2,315      X     28-5284       1000                1315
                                                             102,499         873      X   X 28-5284        873
VALSPAR CORP                   COM            920355104      661,766      13,704      X     28-5284      13704
                                                           1,739,551      36,023      X   X 28-5284      36023
VALUECLICK INC                 COM            92046N102      134,548       6,816      X     28-13605      6816
VANGUARD SPECIALIZED PORTFOL   DIV APP ETF    921908844      623,031      10,641      X     28-5284      10641
                                                           8,634,778     147,477      X   X 28-5284     147477
                                                             238,884       4,080      X     28-13605      4080
                                                               4,099          70      X   X 28-13605        70
VANGUARD ADMIRAL FDS INC       MIDCP 400 IDX  921932885      680,402      10,227      X     28-5284      10227
VANGUARD BD INDEX FD INC       LONG TERM BOND 921937793       26,673         300      X     28-5284        300
                                                             240,057       2,700      X   X 28-5284       2700
VANGUARD BD INDEX FD INC       INTERMED TERM  921937819       24,784         285      X     28-5284        285
                                                              33,480         385      X   X 28-5284        385
VANGUARD BD INDEX FD INC       SHORT TRM BOND 921937827      141,159       1,744      X     28-5284       1744
                                                           1,895,453      23,418      X   X 28-5284      22598                 820
               COLUMN TOTAL                               17,876,488






                                                                                                                   FILE NO. 28-1235
 PAGE   248 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD BD INDEX FD INC       TOTAL BND MRKT 921937835   92,090,691   1,105,796      X     28-5284    1102771                3025
                                                          11,523,204     138,367      X   X 28-5284     130044                8323
                                                             450,628       5,411      X     28-13605      5411
                                                             179,052       2,150      X   X 28-13605      2150
                                                              44,055         529      X     28-13663       529
                                                             433,056       5,200      X   X 28-13663      5200
VANGUARD TAX MANAGED INTL FD   MSCI EAFE ETF  921943858   56,893,362   1,671,859      X     28-5284    1664179                7680
                                                          31,626,495     929,371      X   X 28-5284     820742              108629
                                                           1,772,929      52,099      X     28-13605     52099
                                                             312,497       9,183      X   X 28-13605      9183
                                                             653,376      19,200      X     28-13663     19200
                                                             906,253      26,631      X   X 28-13663     26000                 631
VANGUARD WHITEHALL FDS INC     HIGH DIV YLD   921946406        3,393          70      X     28-5284         70
                                                           3,034,297      62,608      X   X 28-5284      62608
                                                              24,233         500      X   X 28-13663       500
VANGUARD WORLD FDS             CONSUM DIS ETF 92204A108    2,588,875      35,857      X     28-5284      35057                 800
                                                             782,143      10,833      X   X 28-5284      10833
                                                             126,350       1,750      X     28-13605      1750
                                                              18,050         250      X   X 28-13605       250
VANGUARD WORLD FDS             CONSUM STP ETF 92204A207    2,448,626      28,380      X     28-5284      28380
                                                             352,368       4,084      X   X 28-5284       4084
                                                              38,049         441      X   X 28-13605       441
                                                             125,451       1,454      X     28-13663      1454
VANGUARD WORLD FDS             ENERGY ETF     92204A306    2,498,972      23,759      X     28-5284      23759
                                                             262,529       2,496      X   X 28-5284       2496
                                                           2,725,424      25,912      X     28-13605     25912
                                                             418,091       3,975      X   X 28-13605      3975
                                                              42,072         400      X     28-13663       400
VANGUARD WORLD FDS             FINANCIALS ETF 92204A405    1,776,424      53,880      X     28-5284      53580                 300
                                                           1,264,037      38,339      X   X 28-5284      38134                 205
                                                              23,079         700      X     28-13605       700
                                                              42,861       1,300      X   X 28-13605      1300
                                                             158,289       4,801      X     28-13663      4801
               COLUMN TOTAL                              215,639,211






                                                                                                                   FILE NO. 28-1235
 PAGE   249 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD WORLD FDS             HEALTH CAR ETF 92204A504    1,868,919      27,659      X     28-5284      27303                 356
                                                           1,000,644      14,809      X   X 28-5284      12609                2200
                                                             472,990       7,000      X     28-13605      7000
                                                              70,273       1,040      X     28-13663      1040
VANGUARD WORLD FDS             INDUSTRIAL ETF 92204A603    2,514,914      36,165      X     28-5284      34635                1530
                                                             599,574       8,622      X   X 28-5284       8422                 200
                                                              64,742         931      X   X 28-13605       931
VANGUARD WORLD FDS             INF TECH ETF   92204A702    4,952,702      66,766      X     28-5284      66766
                                                           6,990,426      94,236      X   X 28-5284      94236
                                                             220,240       2,969      X     28-13605      2969
                                                              32,862         443      X   X 28-13605       443
                                                              51,926         700      X   X 28-13663       700
VANGUARD WORLD FDS             MATERIALS ETF  92204A801    3,650,782      44,408      X     28-5284      42975                1433
                                                           1,768,830      21,516      X   X 28-5284      20916                 600
                                                             419,353       5,101      X     28-13605      4951                 150
                                                             314,947       3,831      X   X 28-13605      3831
                                                              73,989         900      X     28-13663       900
VANGUARD WORLD FDS             UTILITIES ETF  92204A876      992,977      13,268      X     28-5284      13268
                                                             746,230       9,971      X   X 28-5284       9971
                                                              92,502       1,236      X     28-13663      1236
VANGUARD WORLD FDS             TELCOMM ETF    92204A884      218,824       3,366      X     28-5284       3366
                                                              32,180         495      X   X 28-5284        495
VANGUARD INTL EQUITY INDEX F   FTSE SMCAP ETF 922042718      188,616       2,120      X     28-5284       2120
                                                              28,026         315      X   X 28-5284        315
                                                              97,867       1,100      X     28-13605      1100
VANGUARD INTL EQUITY INDEX F   TT WRLD ST ETF 922042742       46,822         970      X   X 28-5284        970
VANGUARD INTL EQUITY INDEX F   ALLWRLD EX US  922042775  131,959,467   2,984,158      X     28-5284    2848836              135322
                                                          55,874,269   1,263,552      X   X 28-5284    1242995               20557
                                                           1,337,478      30,246      X     28-13605     30246
                                                           1,039,126      23,499      X   X 28-13605     23499
                                                           1,424,415      32,212      X     28-13663     32212
                                                           1,311,698      29,663      X   X 28-13663     29663
               COLUMN TOTAL                              220,458,610






                                                                                                                   FILE NO. 28-1235
 PAGE   250 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD INTL EQUITY INDEX F   MSCI EMR MKT E 922042858  212,851,029   4,896,504      X     28-5284    4844685               51819
                                                          78,888,008   1,814,769      X   X 28-5284    1764640               50129
                                                           9,910,638     227,988      X     28-13605    227786                 202
                                                           3,337,974      76,788      X   X 28-13605     75388                1400
                                                           2,023,529      46,550      X     28-13663     46550
                                                           1,491,456      34,310      X   X 28-13663     31961                2349
VANGUARD INTL EQUITY INDEX F   MSCI PAC ETF   922042866    2,583,986      48,626      X     28-5284      47961                 665
                                                           1,570,659      29,557      X   X 28-5284      29557
                                                             212,401       3,997      X     28-13605      3997
                                                              63,130       1,188      X   X 28-13605      1188
VANGUARD INTL EQUITY INDEX F   MSCI EUROPE ET 922042874    1,310,062      28,424      X     28-5284      28424
                                                             258,381       5,606      X   X 28-5284       5606
                                                             222,154       4,820      X     28-13605      4820
                                                             212,798       4,617      X   X 28-13605      4617
                                                              56,092       1,217      X     28-13663      1217
VANGUARD NATURAL RESOURCES L   COM UNIT       92205F106       30,520       1,105      X     28-5284       1105
                                                             157,185       5,691      X   X 28-5284       5691
                                                               8,286         300      X   X 28-13605       300
VANGUARD SCOTTSDALE FDS        SHRT-TERM CORP 92206C409       18,179         230      X   X 28-5284        230
VANGUARD SCOTTSDALE FDS        INT-TERM CORP  92206C870      170,850       2,040      X   X 28-5284                           2040
VARIAN MED SYS INC             COM            92220P105    7,411,269     107,472      X     28-5284      81328               26144
                                                           6,419,555      93,091      X   X 28-5284      67854               25237
                                                             177,710       2,577      X     28-13605      1242                1335
                                                               3,448          50      X   X 28-13605                            50
                                                             224,258       3,252      X     28-13663       760                2492
                                                              27,584         400      X   X 28-13663       400
VASCO DATA SEC INTL INC        COM            92230Y104      374,532      34,711      X     28-5284                          34711
                                                              14,804       1,372      X   X 28-5284                           1372
                                                              15,451       1,432      X     28-13663                          1432
VECTREN CORP                   COM            92240G101      234,165       8,058      X     28-5284       8058
                                                             349,911      12,041      X   X 28-5284      12041
                                                             132,339       4,554      X     28-13605      4554
                                                              12,351         425      X   X 28-13605       425
VECTOR GROUP LTD               COM            92240M108      122,587       6,918      X     28-5284       6918
               COLUMN TOTAL                              330,897,281






                                                                                                                   FILE NO. 28-1235
 PAGE   251 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VEECO INSTRS INC DEL           COM            922417100       18,561         649      X     28-5284        379                 270
                                                              35,350       1,236      X   X 28-5284        236                1000
VENTAS INC                     COM            92276F100    4,410,747      77,246      X     28-5284      75226                2020
                                                           1,623,239      28,428      X   X 28-5284      22060                6368
                                                           3,169,849      55,514      X     28-13605     52188                3326
                                                           1,101,174      19,285      X   X 28-13605     19285
                                                              11,420         200      X     28-13663       200
                                                              83,366       1,460      X   X 28-13663      1460
VANGUARD INDEX FDS             S&P 500 ETF SH 922908413      154,488       2,400      X     28-5284       2400
                                                             105,438       1,638      X   X 28-5284                           1638
VANGUARD INDEX FDS             MCAP VL IDXVIP 922908512   11,543,886     200,903      X     28-5284     200318                 585
                                                          11,915,308     207,367      X   X 28-5284     207367
                                                             815,587      14,194      X     28-13605     14194
                                                             283,910       4,941      X   X 28-13605      4268                 673
                                                               7,757         135      X     28-13663       135
                                                             432,042       7,519      X   X 28-13663      7150                 369
VANGUARD INDEX FDS             MCAP GR IDXVIP 922908538   18,196,465     264,023      X     28-5284     263474                 549
                                                          28,206,337     409,262      X   X 28-5284     409262
                                                           2,326,946      33,763      X     28-13605     33763
                                                             550,671       7,990      X   X 28-13605      6758                1232
                                                              25,914         376      X     28-13663       376
                                                             461,764       6,700      X   X 28-13663      6700
VANGUARD INDEX FDS             REIT ETF       922908553   88,562,546   1,391,399      X     28-5284    1387522                3877
                                                           9,543,172     149,932      X   X 28-5284     148852                1080
                                                           2,288,981      35,962      X     28-13605     35737                 225
                                                             336,390       5,285      X   X 28-13605      5285
                                                           1,085,614      17,056      X     28-13663     17056
                                                             415,635       6,530      X   X 28-13663      5775                 755
VANGUARD INDEX FDS             SML CP GRW ETF 922908595    5,880,158      67,630      X     28-5284      66770                 860
                                                           7,368,413      84,747      X   X 28-5284      83096                1651
                                                             638,792       7,347      X     28-13605      7347
                                                              18,519         213      X   X 28-13605       213
                                                             359,261       4,132      X     28-13663      4132
                                                             390,474       4,491      X   X 28-13663      4491
               COLUMN TOTAL                              202,368,174






                                                                                                                   FILE NO. 28-1235
 PAGE   252 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD INDEX FDS             SM CP VAL ETF  922908611    4,686,675      66,591      X     28-5284      66566                  25
                                                           9,378,980     133,262      X   X 28-5284     133002                 260
                                                             387,512       5,506      X     28-13605      5506
                                                              48,351         687      X   X 28-13605       687
                                                              38,709         550      X     28-13663       550
                                                             264,277       3,755      X   X 28-13663      3755
VANGUARD INDEX FDS             MID CAP ETF    922908629   40,292,688     493,904      X     28-5284     459828               34076
                                                          12,350,886     151,396      X   X 28-5284     150472                 924
                                                           4,595,075      56,326      X     28-13605     56326
                                                           2,063,892      25,299      X   X 28-13605     25299
                                                             290,262       3,558      X     28-13663      3558
                                                             639,995       7,845      X   X 28-13663      7845
VANGUARD INDEX FDS             LARGE CAP ETF  922908637   77,529,328   1,203,311      X     28-5284    1202311                1000
                                                          16,116,198     250,135      X   X 28-5284     245123                5012
                                                             531,096       8,243      X     28-13605      8243
                                                             152,635       2,369      X   X 28-13605      2369
                                                             285,425       4,430      X   X 28-13663      4430
VANGUARD INDEX FDS             EXTEND MKT ETF 922908652        5,934         100      X     28-5284        100
                                                             922,322      15,543      X   X 28-5284      15543
                                                               8,308         140      X     28-13605       140
VANGUARD INDEX FDS             GROWTH ETF     922908736   31,451,562     443,167      X     28-5284     429627               13540
                                                          28,390,342     400,033      X   X 28-5284     398035                1998
                                                           3,605,205      50,799      X     28-13605     50799
                                                             228,594       3,221      X   X 28-13605      3221
                                                           1,037,298      14,616      X   X 28-13663     12853                1763
VANGUARD INDEX FDS             VALUE ETF      922908744   40,539,523     702,835      X     28-5284     647343               55492
                                                          38,321,035     664,373      X   X 28-5284     663273                1100
                                                           3,085,765      53,498      X     28-13605     53498
                                                             629,923      10,921      X   X 28-13605     10921
                                                             446,386       7,739      X   X 28-13663      6750                 989
VANGUARD INDEX FDS             SMALL CP ETF   922908751   47,007,018     597,142      X     28-5284     559158               37984
                                                          14,423,944     183,231      X   X 28-5284     180963                2268
                                                           3,028,752      38,475      X     28-13605     38475
                                                           1,560,939      19,829      X   X 28-13605     19829
                                                             426,741       5,421      X     28-13663      5421
                                                             824,671      10,476      X   X 28-13663     10476
               COLUMN TOTAL                              385,596,246






                                                                                                                   FILE NO. 28-1235
 PAGE   253 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VANGUARD INDEX FDS             TOTAL STK MKT  922908769   51,844,888     717,477      X     28-5284     716991                 486
                                                          32,415,041     448,589      X   X 28-5284     447589                1000
                                                           1,723,401      23,850      X     28-13605     23850
                                                             995,743      13,780      X   X 28-13605     13412                 368
VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103      697,548      42,250      X     28-5284       2610               39640
                                                             267,957      16,230      X   X 28-5284       1000               15230
                                                              18,656       1,130      X     28-13663                          1130
VERENIUM CORP                  COM NEW        92340P209          751         181      X     28-5284        181
VERIFONE SYS INC               COM            92342Y109        4,357          84      X     28-5284         84
                                                              76,975       1,484      X   X 28-5284        838                 646
VERISIGN INC                   COM            92343E102       65,847       1,717      X     28-5284       1028                 689
                                                              37,430         976      X   X 28-5284        749                 227
                                                              88,358       2,304      X     28-13605       487                1817
                                                               1,879          49      X     28-13663                            49
VERIZON COMMUNICATIONS INC     COM            92343V104  112,240,986   2,935,940      X     28-5284    2912696               23244
                                                         109,690,931   2,869,237      X   X 28-5284    2784477               84760
                                                          19,443,549     508,594      X     28-13605    417847               90747
                                                           9,474,732     247,835      X   X 28-13605    241299        48      6488
                                                             482,463      12,620      X     28-13663     11632                 988
                                                             880,055      23,020      X   X 28-13663     23020
VERISK ANALYTICS INC           CL A           92345Y106    1,065,984      22,695      X     28-5284       1515               21180
                                                             869,931      18,521      X   X 28-5284        886               17635
                                                              74,213       1,580      X     28-13605      1580
                                                              61,296       1,305      X     28-13663                          1305
VERSAR INC                     COM            925297103       54,000      20,000      X   X 28-13605     20000
VERTEX PHARMACEUTICALS INC     COM            92532F100      267,508       6,523      X     28-5284       6523
                                                              64,591       1,575      X   X 28-5284       1336                 239
                                                               3,322          81      X     28-13605        81
                                                               8,817         215      X   X 28-13605       215
VIAD CORP                      COM NEW        92552R406       14,087         725      X     28-5284        725
                                                               1,224          63      X   X 28-5284         63
               COLUMN TOTAL                              342,936,520






                                                                                                                   FILE NO. 28-1235
 PAGE   254 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VIASAT INC                     COM            92552V100       94,974       1,970      X     28-5284                           1970
                                                              19,284         400      X   X 28-5284        400
                                                              36,158         750      X     28-13605       750
VIACOM INC NEW                 CL A           92553P102      120,674       2,322      X     28-5284       2275                  47
                                                              54,049       1,040      X   X 28-5284        887                 153
VIACOM INC NEW                 CL B           92553P201   10,164,034     214,160      X     28-5284     209809                4351
                                                           5,257,144     110,770      X   X 28-5284     107012                3758
                                                             666,908      14,052      X     28-13605      7732                6320
                                                             274,129       5,776      X   X 28-13605      5726                  50
                                                             228,852       4,822      X     28-13663      4628                 194
                                                              66,444       1,400      X   X 28-13663      1400
VICOR CORP                     COM            925815102        1,200         150      X     28-5284                            150
VIEWPOINT FINL GROUP INC MD    COM            92672A101       12,304         800      X   X 28-5284                            800
VILLAGE BK & TR FINANCIAL CO   COM            92705T101      145,271      73,369      X   X 28-5284                          73369
VIRGIN MEDIA INC               COM            92769L101       87,855       3,517      X   X 28-5284       3517
VIRGINIA COMM BANCORP INC      COM            92778Q109        8,780       1,000      X     28-13605      1000
VIROPHARMA INC                 COM            928241108        2,255          75      X     28-5284         75
VISA INC                       COM CL A       92826C839   17,318,742     146,769      X     28-5284     116992               29777
                                                          16,208,008     137,356      X   X 28-5284      99931               37425
                                                          11,534,028      97,746      X     28-13605     69208               28538
                                                           1,936,616      16,412      X   X 28-13605     15032        40      1340
                                                             463,032       3,924      X     28-13663      1700                2224
                                                             153,400       1,300      X   X 28-13663      1300
VIRTUS INVT PARTNERS INC       COM            92828Q109        4,289          50      X     28-5284         50
                                                                 686           8      X   X 28-5284          8
                                                           3,919,031      45,687      X     28-13605     37059                8628
                                                              22,045         257      X   X 28-13605       257
VISHAY INTERTECHNOLOGY INC     COM            928298108       35,264       2,900      X     28-5284       2900
                                                              49,467       4,068      X   X 28-5284       4068
VISHAY PRECISION GROUP INC     COM            92835K103          311          21      X     28-5284         21
                                                                 667          45      X   X 28-5284         45
               COLUMN TOTAL                               68,885,901






                                                                                                                   FILE NO. 28-1235
 PAGE   255 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
VISTEON CORP                   COM NEW        92839U206       57,770       1,090      X   X 28-5284       1090
                                                                 371           7      X     28-13605         7
                                                                 159           3      X   X 28-13605         3
VITAMIN SHOPPE INC             COM            92849E101       34,042         770      X     28-5284        770
                                                               8,311         188      X   X 28-5284        188
VITESSE SEMICONDUCTOR CORP     COM NEW        928497304        1,302         350      X   X 28-5284        350
VITRAN CORP INC                COM            92850E107      455,738      57,110      X     28-5284      57110
VIVUS INC                      COM            928551100       62,340       2,788      X     28-5284       2788
                                                               6,708         300      X   X 28-5284        300
VMWARE INC                     CL A COM       928563402      824,908       7,341      X     28-5284       6936                 405
                                                              66,298         590      X   X 28-5284        590
                                                              32,924         293      X     28-13605       293
                                                              25,059         223      X   X 28-13605       223
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209   26,837,161     969,901      X     28-5284     902862               67039
                                                          12,295,524     444,363      X   X 28-5284     388732               55631
                                                          29,153,416   1,053,611      X     28-13605    983484               70127
                                                           7,748,264     280,024      X   X 28-13605    271435       224      8365
                                                             279,882      10,115      X     28-13663      3715                6400
                                                             131,848       4,765      X   X 28-13663      4765
VOCUS INC                      COM            92858J108      662,500      50,000      X     28-13605     50000
VOLCANO CORPORATION            COM            928645100       50,516       1,780      X   X 28-5284       1780
VOLTERRA SEMICONDUCTOR CORP    COM            928708106       12,045         350      X   X 28-5284                            350
VORNADO RLTY TR                SH BEN INT     929042109      389,257       4,623      X     28-5284       3792                 831
                                                             185,324       2,201      X   X 28-5284       2074                 127
                                                             275,081       3,267      X     28-13605      1213                2054
                                                              21,050         250      X   X 28-13605       250
                                                               7,325          87      X     28-13663                            87
VULCAN MATLS CO                COM            929160109       80,375       1,881      X     28-5284       1853                  28
                                                             225,999       5,289      X   X 28-5284       5289
                                                              80,375       1,881      X     28-13605       418                1463
W & T OFFSHORE INC             COM            92922P106       44,268       2,100      X   X 28-5284                           2100
               COLUMN TOTAL                               80,056,140






                                                                                                                   FILE NO. 28-1235
 PAGE   256 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WD-40 CO                       COM            929236107        4,989         110      X     28-5284                            110
                                                              49,885       1,100      X   X 28-5284       1100
                                                               2,902          64      X     28-13605        64
WGL HLDGS INC                  COM            92924F106      104,111       2,558      X     28-5284       2558
                                                             172,975       4,250      X   X 28-5284        700                3550
                                                             420,268      10,326      X     28-13605     10326
                                                             166,870       4,100      X   X 28-13605      4100
WABCO HLDGS INC                COM            92927K102      112,916       1,867      X     28-5284       1867
                                                              44,211         731      X   X 28-5284        731
                                                              18,144         300      X     28-13605       300
WMS INDS INC                   COM            929297109       28,286       1,192      X     28-5284       1192
                                                           1,237,923      52,167      X     28-13605     41482               10685
                                                              11,058         466      X   X 28-13605       466
W P CAREY & CO LLC             COM            92930Y107    1,556,180      33,454      X     28-5284      33454
                                                             491,731      10,571      X   X 28-5284       8571                2000
                                                              63,728       1,370      X     28-13605      1370
                                                              36,051         775      X   X 28-13605       775
WNS HOLDINGS LTD               SPON ADR       92932M101       57,117       4,740      X   X 28-5284                           4740
WSFS FINL CORP                 COM            929328102      107,133       2,613      X     28-5284       2613
                                                              49,200       1,200      X   X 28-5284       1200
WPP PLC                        ADR            92933H101      114,110       1,669      X     28-5284       1669
                                                             255,088       3,731      X   X 28-5284         51                3680
                                                               6,290          92      X     28-13605        92
WVS FINL CORP                  COM            929358109        5,832         720      X     28-5284        720
                                                               5,832         720      X   X 28-5284        720
WABASH NATL CORP               COM            929566107       27,945       2,700      X   X 28-5284                           2700
                                                             295,503      28,551      X     28-13605     28551
WABTEC CORP                    COM            929740108    2,576,373      34,183      X     28-5284       1955               32228
                                                           4,391,885      58,271      X   X 28-5284       2205      2142     53924
                                                             198,977       2,640      X   X 28-13605      2640
                                                          16,172,819     214,579      X     28-13663    214402                 177
               COLUMN TOTAL                               28,786,332






                                                                                                                   FILE NO. 28-1235
 PAGE   257 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WACOAL HOLDINGS CORP           ADR            930004205       74,705       1,272      X     28-5284                           1272
                                                             119,163       2,029      X   X 28-5284                           2029
WADDELL & REED FINL INC        CL A           930059100      755,445      23,309      X     28-5284       2422               20887
                                                             778,488      24,020      X   X 28-5284      20045                3975
                                                              21,553         665      X     28-13663                           665
WAL MART STORES INC            COM            931142103  110,653,945   1,808,071      X     28-5284    1752702               55369
                                                          62,083,973   1,014,444      X   X 28-5284     933140               81304
                                                          10,565,262     172,635      X     28-13605    150915               21720
                                                           5,858,125      95,721      X   X 28-13605     92696                3025
                                                           1,196,032      19,543      X     28-13663     14604                4939
                                                             723,751      11,826      X   X 28-13663     11405                 421
WALGREEN CO                    COM            931422109   11,590,922     346,101      X     28-5284     340592                5509
                                                           5,049,689     150,782      X   X 28-5284     126447               24335
                                                             490,662      14,651      X     28-13605      4578               10073
                                                             407,841      12,178      X   X 28-13605     11978                 200
                                                              32,887         982      X     28-13663       850                 132
                                                              89,921       2,685      X   X 28-13663      2685
WALTER ENERGY INC              COM            93317Q105        7,401         125      X     28-5284                            125
WARNACO GROUP INC              COM NEW        934390402      512,810       8,781      X     28-5284        291                8490
                                                             441,971       7,568      X   X 28-5284                           7568
                                                              29,025         497      X     28-13663                           497
WARREN RES INC                 COM            93564A100        8,496       2,606      X     28-5284       2606
WASHINGTON FED INC             COM            938824109      193,124      11,475      X     28-5284       2303                9172
                                                              63,213       3,756      X   X 28-5284         73                3683
WASHINGTON POST CO             CL B           939640108       24,282          65      X     28-5284         50                  15
                                                             258,510         692      X   X 28-5284        672                  20
                                                             103,852         278      X     28-13605        74                 204
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101      256,994       8,653      X     28-5284       8653
                                                             197,505       6,650      X   X 28-5284       6650
                                                              92,902       3,128      X     28-13605      3128
                                                             113,009       3,805      X   X 28-13605      3805
WASHINGTON TR BANCORP          COM            940610108       16,898         700      X     28-5284        700
                                                             130,235       5,395      X   X 28-5284                           5395
               COLUMN TOTAL                              212,942,591






                                                                                                                   FILE NO. 28-1235
 PAGE   258 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WASTE CONNECTIONS INC          COM            941053100       27,390         842      X     28-5284        842
                                                              23,617         726      X   X 28-5284        726
WASTE MGMT INC DEL             COM            94106L109   22,230,994     635,898      X     28-5284     597358               38540
                                                          10,619,659     303,766      X   X 28-5284     259786               43980
                                                           2,289,286      65,483      X     28-13605     59922                5561
                                                             718,743      20,559      X   X 28-13605     16659                3900
                                                             230,876       6,604      X     28-13663      3245                3359
                                                             199,342       5,702      X   X 28-13663      4960                 742
WATERS CORP                    COM            941848103    1,207,545      13,032      X     28-5284       6990                6042
                                                             590,337       6,371      X   X 28-5284       1476                4895
                                                             119,717       1,292      X     28-13605       268                1024
                                                               2,780          30      X   X 28-13605        30
                                                              96,830       1,045      X     28-13663                          1045
                                                             111,192       1,200      X   X 28-13663      1200
WATSCO INC                     COM            942622200      135,123       1,825      X     28-5284       1207                 618
                                                             220,935       2,984      X   X 28-5284                           2984
WATSON PHARMACEUTICALS INC     COM            942683103    2,022,932      30,166      X     28-5284      29636                 530
                                                             691,791      10,316      X   X 28-5284       2766                7550
                                                             131,236       1,957      X     28-13605       475                1482
                                                               4,359          65      X   X 28-13605        65
                                                             100,590       1,500      X   X 28-13663      1500
WATTS WATER TECHNOLOGIES INC   CL A           942749102      220,050       5,400      X     28-5284       5200                 200
                                                              12,225         300      X   X 28-5284        300
WAVE SYSTEMS CORP              COM NEW        943526301        8,928       4,800      X     28-13605      4800
WEBSENSE INC                   COM            947684106      394,805      18,720      X     28-5284                          18720
                                                              93,239       4,421      X   X 28-5284                           4421
                                                              14,426         684      X     28-13663                           684
WEBMD HEALTH CORP              COM            94770V102        8,314         325      X     28-5284        325
WEBSTER FINL CORP CONN         COM            947890109      151,889       6,700      X   X 28-5284       3900                2800
WEIGHT WATCHERS INTL INC NEW   COM            948626106        4,786          62      X     28-5284         62
                                                              26,322         341      X   X 28-5284        341
               COLUMN TOTAL                               42,710,258






                                                                                                                   FILE NO. 28-1235
 PAGE   259 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WEINGARTEN RLTY INVS           SH BEN INT     948741103       13,215         500      X     28-5284        500
                                                             141,586       5,357      X   X 28-5284       2357                3000
                                                             158,580       6,000      X   X 28-13605      1500                4500
WEIS MKTS INC                  COM            948849104      564,358      12,944      X     28-5284      12944
                                                              10,900         250      X   X 28-5284        250
WELLPOINT INC                  COM            94973V107    1,561,756      21,162      X     28-5284      19157                2005
                                                           1,241,685      16,825      X   X 28-5284      13773                3052
                                                           2,496,802      33,832      X     28-13605     30136                3696
                                                              41,476         562      X   X 28-13605       562
                                                               9,963         135      X     28-13663                           135
                                                              11,070         150      X   X 28-13663       150
WELLS FARGO & CO NEW           COM            949746101  107,467,667   3,147,852      X     28-5284    3085284               62568
                                                          72,057,079   2,110,635      X   X 28-5284    2034514               76121
                                                          68,163,275   1,996,581      X     28-13605   1757579              239002
                                                          17,168,050     502,872      X   X 28-13605    486254       405     16213
                                                             651,323      19,078      X     28-13663     17659                1419
                                                             972,444      28,484      X   X 28-13663     28484
WELLS FARGO & CO NEW           PERP PFD CNV A 949746804      161,922         145      X     28-5284        145
                                                             316,026         283      X   X 28-5284        283
WELLS FARGO ADVANTAGE INCOME   COM SHS        94987B105       18,125       1,770      X     28-5284       1770
                                                               6,472         632      X   X 28-5284        632
WELLS FARGO ADV GLB DIV OPP    COM            94987C103        3,246         381      X   X 28-5284        381
WENDYS CO                      COM            95058W100       50,441      10,068      X     28-5284      10068
                                                               3,788         756      X   X 28-5284        756
WERNER ENTERPRISES INC         COM            950755108       21,628         870      X   X 28-5284        870
WESBANCO INC                   COM            950810101      362,037      17,976      X     28-5284      17976
                                                              60,420       3,000      X   X 28-5284       3000
WESCO AIRCRAFT HLDGS INC       COM            950814103      115,182       7,110      X     28-13605      7110
WESCO INTL INC                 COM            95082P105      225,515       3,453      X     28-5284                           3453
                                                              19,005         291      X   X 28-5284        291
               COLUMN TOTAL                              274,095,036






                                                                                                                   FILE NO. 28-1235
 PAGE   260 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WEST PHARMACEUTICAL SVSC INC   COM            955306105      329,650       7,751      X     28-5284       4900                2851
                                                              28,495         670      X   X 28-5284                            670
                                                               3,828          90      X     28-13605        90
WESTAR ENERGY INC              COM            95709T100       76,500       2,739      X     28-5284       2739
                                                             117,585       4,210      X   X 28-5284       4210
                                                              17,456         625      X   X 28-13605       625
                                                              38,152       1,366      X   X 28-13663      1366
WESTERN ASSET GLB HI INCOME    COM            95766B109        2,650         200      X   X 28-13605       200
WESTERN ASSET GLB PTNRS INCO   COM            95766G108      206,400      16,000      X   X 28-5284      16000
WESTERN ASSET HIGH INCM FD I   COM            95766J102       76,324       7,640      X     28-5284       7640
                                                              17,732       1,775      X   X 28-5284                           1775
WESTERN ASSET HIGH INCM OPP    COM            95766K109       73,452      11,924      X     28-5284      11924
                                                              65,912      10,700      X   X 28-5284      10700
WESTERN ASSET MGD HI INCM FD   COM            95766L107      104,202      16,971      X     28-5284      16971
                                                              15,350       2,500      X   X 28-5284                           2500
WESTERN ASST MNG MUN FD INC    COM            95766M105        4,689         343      X   X 28-5284        343
WESTERN ASST MN PRT FD INC     COM            95766P108      126,320       8,000      X   X 28-5284       8000
WESTERN ASSET CLYM INFL SEC    COM SH BEN INT 95766Q106       19,110       1,500      X   X 28-5284       1500
                                                              28,920       2,270      X     28-13605      2270
WESTERN ASSET CLYM INFL OPP    COM            95766R104       17,791       1,391      X   X 28-5284        500                 891
WESTERN ASSET INFL MGMT FD I   COM            95766U107       25,329       1,427      X   X 28-5284                           1427
WESTERN ASSET PREMIER BD FD    SHS BEN INT    957664105       74,269       4,671      X     28-13605      4671
WESTERN DIGITAL CORP           COM            958102105       98,508       2,380      X     28-5284       1977                 403
                                                             151,115       3,651      X   X 28-5284       3619                  32
                                                             182,282       4,404      X     28-13605      1694                2710
                                                              56,870       1,374      X   X 28-13605      1374
               COLUMN TOTAL                                1,958,891






                                                                                                                   FILE NO. 28-1235
 PAGE   261 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WESTERN GAS PARTNERS LP        COM UNIT LP IN 958254104    2,668,301      57,818      X     28-5284      57818
                                                             891,987      19,328      X   X 28-5284      15063                4265
                                                              27,690         600      X     28-13605       600
                                                              96,915       2,100      X   X 28-13605      2100
WESTERN REFNG INC              COM            959319104       41,404       2,200      X   X 28-5284        500                1700
WESTERN UN CO                  COM            959802109    1,606,792      91,295      X     28-5284      88664                2631
                                                           2,418,064     137,390      X   X 28-5284     123832               13558
                                                           1,093,242      62,116      X     28-13605     54423                7693
                                                             107,765       6,123      X   X 28-13605      6123
                                                               1,795         102      X     28-13663                           102
WESTLAKE CHEM CORP             COM            960413102      599,891       9,259      X     28-5284                           9259
                                                             302,375       4,667      X   X 28-5284         60                4607
                                                              21,899         338      X     28-13663                           338
WESTPORT INNOVATIONS INC       COM NEW        960908309       40,920       1,000      X     28-5284       1000
                                                              69,155       1,690      X   X 28-5284       1240                 450
WESTPAC BKG CORP               SPONSORED ADR  961214301       60,856         535      X     28-5284        535
WESTWOOD HLDGS GROUP INC       COM            961765104       31,565         815      X   X 28-5284                            815
WEYERHAEUSER CO                COM            962166104      315,144      14,377      X     28-5284      12037                2340
                                                             661,831      30,193      X   X 28-5284      20106               10087
                                                             199,713       9,111      X     28-13605      3159                5952
                                                             105,282       4,803      X   X 28-13605      4803
WHIRLPOOL CORP                 COM            963320106    7,857,014     102,225      X     28-5284     101316                 909
                                                           1,153,131      15,003      X   X 28-5284      12896                2107
                                                             120,670       1,570      X     28-13605       731                 839
                                                              28,438         370      X   X 28-13605       370
                                                               7,686         100      X     28-13663                           100
WHITESTONE REIT                CL B SBI       966084204       20,838       1,598      X     28-5284       1598
WHITING PETE CORP NEW          COM            966387102      724,959      13,351      X     28-5284       1376               11975
                                                             648,831      11,949      X   X 28-5284       1256               10693
                                                              37,901         698      X     28-13663                           698
               COLUMN TOTAL                               21,962,054






                                                                                                                   FILE NO. 28-1235
 PAGE   262 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WHOLE FOODS MKT INC            COM            966837106   24,043,302     288,982      X     28-5284     282412                6570
                                                           4,651,130      55,903      X   X 28-5284      54173                1730
                                                          31,140,928     374,290      X     28-13605    366031                8259
                                                           6,189,082      74,388      X   X 28-13605     71169        99      3120
                                                             193,024       2,320      X     28-13663      2278                  42
                                                              85,862       1,032      X   X 28-13663      1032
WILEY JOHN & SONS INC          CL A           968223206      524,251      11,016      X     28-5284       7700                3316
                                                              16,990         357      X   X 28-5284        357
                                                              57,108       1,200      X   X 28-13663      1200
WILEY JOHN & SONS INC          CL B           968223305      114,480       2,400      X     28-5284       2400
WILLIAMS COS INC DEL           COM            969457100    2,891,457      93,848      X     28-5284      83602               10246
                                                           2,055,212      66,706      X   X 28-5284      63210                3496
                                                             552,423      17,930      X     28-13605     11133                6797
                                                              46,215       1,500      X   X 28-13605      1500
                                                               4,067         132      X     28-13663                           132
                                                              92,430       3,000      X   X 28-13663      3000
WILLIAMS CLAYTON ENERGY INC    COM            969490101       15,888         200      X   X 28-5284        200
                                                              79,440       1,000      X   X 28-13605      1000
WILLIAMS PARTNERS L P          COM UNIT L P   96950F104    2,517,236      44,482      X     28-5284      44482
                                                           1,732,446      30,614      X   X 28-5284      27904                2710
                                                             210,798       3,725      X     28-13605      3725
                                                             121,669       2,150      X   X 28-13605      1850                 300
WILLIAMS SONOMA INC            COM            969904101       77,434       2,066      X   X 28-5284       1722                 344
                                                             117,237       3,128      X     28-13605      3128
WILLIS LEASE FINANCE CORP      COM            970646105        2,602         200      X   X 28-5284        200
WILSHIRE BANCORP INC           COM            97186T108      235,830      48,826      X     28-13605     48826
WINDSTREAM CORP                COM            97381W104    4,253,480     363,390      X     28-5284     326029               37361
                                                           1,406,192     120,136      X   X 28-5284     108906               11230
                                                             104,104       8,894      X     28-13605      2052                6842
                                                              37,386       3,194      X   X 28-13605      3194
                                                               2,236         191      X     28-13663                           191
                                                               4,682         400      X   X 28-13663       400
WINNEBAGO INDS INC             COM            974637100        9,996       1,020      X     28-5284        800                 220
               COLUMN TOTAL                               83,586,617






                                                                                                                   FILE NO. 28-1235
 PAGE   263 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WINTHROP RLTY TR               SH BEN INT NEW 976391300      241,709      20,855      X     28-13605     20855
WISCONSIN ENERGY CORP          COM            976657106   58,087,633   1,651,155      X     28-5284    1631865               19290
                                                          15,851,229     450,575      X   X 28-5284     434060               16515
                                                          44,325,322   1,259,958      X     28-13605   1126495              133463
                                                           9,637,807     273,957      X   X 28-13605    264365       285      9307
                                                             309,760       8,805      X     28-13663      8777                  28
                                                             178,785       5,082      X   X 28-13663      5082
WISDOMTREE TRUST               FUTRE STRAT FD 97717W125        8,219         190      X     28-5284        190
WISDOMTREE TRUST               CHINESE YUAN E 97717W182       29,989       1,183      X   X 28-5284                           1183
WISDOMTREE TRUST               EQTY INC ETF   97717W208        8,960         200      X     28-5284        200
WISDOMTREE TRUST               BRAZILN RL ETF 97717W240       14,081         694      X   X 28-5284                            694
WISDOMTREE TRUST               EMG MKTS SMCAP 97717W281       27,332         568      X     28-5284        568
                                                              75,500       1,569      X   X 28-5284       1569
WISDOMTREE TRUST               LARGECAP DIVID 97717W307   68,888,673   1,300,768      X     28-5284    1275285               25483
                                                          13,766,264     259,937      X   X 28-5284     255291                4646
                                                           1,121,216      21,171      X     28-13605     21171
                                                             115,612       2,183      X   X 28-13605      2183
                                                           1,372,300      25,912      X     28-13663     25912
                                                             313,629       5,922      X   X 28-13663      5922
WISDOMTREE TRUST               EMERG MKTS ETF 97717W315      161,538       2,804      X     28-5284       2804
                                                           2,084,099      36,176      X   X 28-5284      36176
                                                              70,572       1,225      X   X 28-13663      1225
WISDOMTREE TRUST               DIV EX-FINL FD 97717W406      515,308       9,400      X     28-5284       9400
                                                              11,786         215      X   X 28-5284        215
WISDOMTREE TRUST               INDIA ERNGS FD 97717W422       34,145       1,771      X   X 28-5284        571                1200
                                                               9,293         482      X   X 28-13605       482
WISDOMTREE TRUST               SMALLCAP DIVID 97717W604      212,069       4,320      X   X 28-13663      4320
WISDOMTREE TRUST               DEFA FD        97717W703      120,781       2,690      X     28-5284       2690
                                                             379,405       8,450      X   X 28-5284       8450
                                                             473,920      10,555      X   X 28-13663     10555
               COLUMN TOTAL                              218,446,936






                                                                                                                   FILE NO. 28-1235
 PAGE   264 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
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       29,532         596      X   X 28-5284        596
WISDOMTREE TR                  ASIA LC DBT FD 97717X842        4,934          96      X   X 28-5284         96
WISDOMTREE TR                  EM LCL DEBT FD 97717X867       12,142         234      X   X 28-5284        234
WOLVERINE WORLD WIDE INC       COM            978097103    8,809,392     236,939      X     28-5284     233568                3371
                                                              52,089       1,401      X   X 28-5284                           1401
                                                           1,092,609      29,387      X     28-13605     24432                4955
                                                               5,242         141      X   X 28-13605       141
WOODWARD INC                   COM            980745103        4,283         100      X     28-5284        100
                                                             214,150       5,000      X   X 28-5284       3000                2000
WORLD ACCEP CORP DEL           COM            981419104    1,571,491      25,657      X     28-13605     20715                4942
                                                               8,759         143      X   X 28-13605       143
WORLD ENERGY SOLUTIONS INC D   COM NEW        98145W208        4,790       1,000      X     28-5284       1000
WORLD FUEL SVCS CORP           COM            981475106        6,478         158      X     28-5284        158
                                                             106,600       2,600      X   X 28-5284       2600
                                                           3,278,647      79,967      X     28-13605     66782               13185
                                                              16,113         393      X   X 28-13605       393
WORLD WRESTLING ENTMT INC      CL A           98156Q108        1,774         200      X     28-5284        200
                                                               8,072         910      X   X 28-5284        910
                                                                 293          33      X     28-13605        33
WORTHINGTON INDS INC           COM            981811102       83,049       4,330      X     28-5284       4330
                                                              78,638       4,100      X   X 28-5284       4100
                                                             450,788      23,503      X     28-13605     23503
                                                             469,910      24,500      X   X 28-13605     24500
WPX ENERGY INC                 COM            98212B103      491,565      27,294      X     28-5284      26724                 570
                                                             284,918      15,820      X   X 28-5284      14585                1235
                                                              65,538       3,639      X     28-13605      3616                  23
                                                               4,376         243      X   X 28-13605       243
                                                                 792          44      X     28-13663                            44
                                                              18,010       1,000      X   X 28-13663      1000
               COLUMN TOTAL                               17,174,974






                                                                                                                   FILE NO. 28-1235
 PAGE   265 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
WRIGHT EXPRESS CORP            COM            98233Q105      189,983       2,935      X     28-5284       2935
                                                              49,842         770      X   X 28-5284                            770
                                                           2,506,087      38,716      X     28-13605     31548                7168
                                                              14,176         219      X   X 28-13605       219
WYNDHAM WORLDWIDE CORP         COM            98310W108    4,130,646      88,812      X     28-5284      85361                3451
                                                           3,410,718      73,333      X   X 28-5284      68225                5108
                                                          14,245,687     306,293      X     28-13605    231684               74609
                                                           2,141,367      46,041      X   X 28-13605     45917       124
                                                              41,208         886      X     28-13663       725                 161
                                                             108,322       2,329      X   X 28-13663      2329
WYNN RESORTS LTD               COM            983134107      652,498       5,225      X     28-5284        579                4646
                                                           1,769,425      14,169      X   X 28-5284      11090                3079
                                                             144,861       1,160      X     28-13605       297                 863
                                                              29,597         237      X     28-13663                           237
XO GROUP INC                   COM            983772104       33,804       3,600      X   X 28-5284                           3600
XPO LOGISTICS INC              COM            983793100       57,792       3,440      X   X 28-5284                           3440
XCEL ENERGY INC                COM            98389B100      904,771      34,181      X     28-5284      31508                2673
                                                           2,365,412      89,362      X   X 28-5284      87528                1834
                                                           1,254,466      47,392      X     28-13605     41359                6033
                                                           1,317,121      49,759      X   X 28-13605     49759
                                                               6,723         254      X     28-13663                           254
XILINX INC                     COM            983919101      196,956       5,399      X     28-5284        508                4891
                                                             184,662       5,062      X   X 28-5284       3496                1566
                                                             135,523       3,715      X     28-13605       790                2925
                                                              11,053         303      X   X 28-13605       303
                                                               2,517          69      X     28-13663                            69
XEROX CORP                     COM            984121103      232,762      28,825      X     28-5284      26964                1861
                                                             147,700      18,291      X   X 28-5284      15386                2905
                                                             158,012      19,568      X     28-13605      4550               15018
                                                             795,678      98,536      X   X 28-13605     98536
                                                               8,148       1,009      X     28-13663                          1009
XOMA CORP DEL                  COM            98419J107          554         200      X     28-5284        200
               COLUMN TOTAL                               37,248,071






                                                                                                                   FILE NO. 28-1235
 PAGE   266 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
XYLEM INC                      COM            98419M100    7,472,576     269,282      X     28-5284     268144                1138
                                                           5,821,478     209,783      X   X 28-5284     199128               10655
                                                           1,844,321      66,462      X     28-13605     63513                2949
                                                             719,336      25,922      X   X 28-13605     25922
                                                              47,009       1,694      X     28-13663      1694
                                                             100,788       3,632      X   X 28-13663      3632
YAHOO INC                      COM            984332106      283,625      18,635      X     28-5284      15402                3233
                                                              88,063       5,786      X   X 28-5284       4630                1156
                                                             273,686      17,982      X     28-13605      4386               13596
                                                             114,531       7,525      X   X 28-13605      7425                 100
                                                                 517          34      X     28-13663                            34
YAMANA GOLD INC                COM            98462Y100      171,508      10,980      X     28-5284      10980
                                                             225,631      14,445      X   X 28-5284      14041                 404
YANZHOU COAL MNG CO LTD        SPON ADR H SHS 984846105       66,213       3,064      X     28-5284       3064
YELP INC                       CL A           985817105        5,378         200      X     28-5284        200
YORK WTR CO                    COM            987184108       12,110         700      X     28-5284        700
                                                              22,490       1,300      X   X 28-5284       1300
YOUKU INC                      SPONSORED ADR  98742U100       35,712       1,624      X     28-5284       1624
                                                                 154           7      X   X 28-5284          7
                                                                 462          21      X     28-13605        21
                                                               1,056          48      X   X 28-13605        48
YUM BRANDS INC                 COM            988498101   16,714,630     234,822      X     28-5284     229517                5305
                                                          15,269,178     214,515      X   X 28-5284     203729               10786
                                                           1,611,800      22,644      X     28-13605     17282                5362
                                                           1,149,842      16,154      X   X 28-13605     14160                1994
                                                             210,337       2,955      X     28-13663      2800                 155
                                                             119,227       1,675      X   X 28-13663      1675
ZAGG INC                       COM            98884U108        5,315         500      X   X 28-5284        500
ZALE CORP NEW                  COM            988858106          958         310      X     28-5284                            310
ZEBRA TECHNOLOGIES CORP        CL A           989207105       78,860       1,915      X     28-5284       1915
                                                              28,867         701      X   X 28-5284        701
ZEP INC                        COM            98944B108       53,050       3,684      X     28-5284       3684
               COLUMN TOTAL                               52,548,708






                                                                                                                   FILE NO. 28-1235
 PAGE   267 OF   267             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

                                                                                  ITEM 6:
                                                                      ITEM 5:    INVESTMENT                   ITEM 8:
                                               ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
     ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                             
ZIMMER HLDGS INC               COM            98956P102    9,437,011     146,811      X     28-5284     128312               18499
                                                           9,861,709     153,418      X   X 28-5284     151749                1669
                                                             772,260      12,014      X     28-13605     10037                1977
                                                             839,433      13,059      X   X 28-13605     12259                 800
                                                              64,923       1,010      X     28-13663      1010
                                                             208,974       3,251      X   X 28-13663      3251
ZION OIL & GAS INC             COM            989696109        2,640       1,000      X     28-5284       1000
ZION OIL & GAS INC             *W EXP 12/31/2 989696125           53         110      X     28-5284        110
ZIONS BANCORPORATION           COM            989701107    1,054,501      49,138      X     28-5284       7400               41738
                                                             323,574      15,078      X   X 28-5284       1140               13938
                                                             310,977      14,491      X     28-13605     12654                1837
                                                              36,675       1,709      X     28-13663                          1709
ZIOPHARM ONCOLOGY INC          COM            98973P101        5,400       1,000      X     28-5284       1000
                                                             295,920      54,800      X   X 28-5284      54800
ZIPCAR INC                     COM            98974X103        2,962         200      X     28-5284        200
ZYGO CORP                      COM            989855101      176,110       8,999      X     28-13605      8999
ZYNGA INC                      CL A           98986T108      503,606      38,297      X     28-5284        600               37697
                                                             151,291      11,505      X   X 28-5284        100               11405
                                                                 658          50      X   X 28-13605        50
                                                              19,830       1,508      X     28-13663                          1508
ZOLL MED CORP                  COM            989922109      157,471       1,700      X     28-5284       1700
               COLUMN TOTAL                               24,225,978
                GRAND TOTAL                           42,996,567,273






 PAGE     1 OF     1             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 03/31/12

         ENTITY TOTALS                                  FAIR MARKET                         ENTITY                    UNITS
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                                          
                                                         30,060,883,208                     28-5284                517,433,684
                                                          5,582,559,084                     28-13605               113,504,065
                                                             25,638,036                     28-11439                   737,895
                                                            525,843,760                     28-13663                 8,005,187
                                                          6,800,108,505                     28-4750                 33,187,450
                                                              1,534,680                                                168,611
      GRAND TOTALS                                       42,996,567,273                                            673,036,892
  NUMBER OF ISSUES                                                3,166