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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2006

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:   Joan L. Gulley
Title:  Vice President
Phone:  (412) 768-8416
Signature, Place, and Date of Signing:

     /s/ Joan L. Gulley          Pittsburgh, PA           August 4, 2006
   -----------------------     -------------------      -------------------
         [Signature]              [City, State]               [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

        Form 13F File Number            Name
        28-5703                     BlackRock, Inc.




Page 2
                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 5

Form 13F Information Table Entry Total:        2,871

Form 13F Information Table Value Total: $ 23,990,846
                                          (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             28-1500                      J.J. B. Hilliard, W. L. Lyons, Inc.

  2             28-4750                      PNC Bancorp, Inc.

  3             28-4580                      PNC Bank, Delaware

  4             28-5284                      PNC Bank, National Association

  5             28-11439                     PNC Equity Securities, LLC




                                                                                                                   FILE NO. 28-1235
 PAGE     1 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DAIMLERCHRYSLER AG             ORD            D1668R123      252,970       5,125       X        28-5284     4483                 642
                                                             309,882       6,278       X    X   28-5284     5658                 620
                                                              76,508       1,550       X    X   28-4580     1550

DEUTSCHE BANK AG NAMEN         ORD            D18190898      144,113       1,281       X        28-5284      281                1000

ACE LTD                        ORD            G0070K103      331,617       6,555       X        28-5284     6555
                                                             563,269      11,134       X    X   28-5284    10984                 150
                                                             177,065       3,500       X    X   28-1500     3500

AMDOCS LTD                     ORD            G02602103        9,150         250       X        28-5284      250

ARIES MARITIME TRNSPRT LTD     SHS            G0474B105        1,065         100       X        28-5284      100

ARLINGTON TANKERS LTD          COM            G04899103        2,268         100       X        28-5284      100

ASSURED GUARANTY LTD           COM            G0585R106      342,495      13,500       X        28-5284    13500

ACCENTURE LTD BERMUDA          CL A           G1150G111        5,664         200       X        28-5284      200
                                                              65,136       2,300       X    X   28-5284     2300

BUNGE LIMITED                  COM            G16962105      100,500       2,000       X        28-5284     2000
                                                             532,650      10,600       X    X   28-5284    10600

COOPER INDS LTD                CL A           G24182100      356,534       3,837       X        28-5284     3837
                                                             263,428       2,835       X    X   28-5284     2835
                                                              92,920       1,000       X    X   28-4580     1000

ASA BERMUDA LIMITED            COM            G3156P103    3,200,417      50,124       X    X   28-5284    50124

FOSTER WHEELER LTD             *W EXP 09/24/2 G36535113        7,615       3,108       X        28-5284     3108

FOSTER WHEELER LTD             SHS NEW        G36535139       57,672       1,335       X        28-5284     1335
                                                              69,120       1,600       X    X   28-5284     1600

FRONTLINE LTD                  SHS            G3682E127       88,948       2,350       X        28-5284     2350
                                                               9,576         253       X    X   28-5284      253
                                                              52,990       1,400       X    X   28-1500     1400

GARMIN LTD                     ORD            G37260109    4,231,096      40,128       X        28-5284    39978                 150
                                                             826,122       7,835       X    X   28-5284     7625        40       170
               COLUMN TOTAL                               12,170,790





                                                                                                                   FILE NO. 28-1235
 PAGE     2 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

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

GLOBALSANTAFE CORP             SHS            G3930E101    2,957,782      51,217       X        28-5284    50177                1040
                                                           1,952,932      33,817       X    X   28-5284    32602                1215

GLOBAL SOURCES LTD             ORD            G39300101      136,615      14,157       X        28-5284    14157

HELEN OF TROY CORP LTD         COM            G4388N106           37           2       X        28-5284        2
                                                               3,680         200       X    X   28-5284                          200

INGERSOLL-RAND COMPANY LTD     CL A           G4776G101   59,994,415   1,402,394       X        28-5284  1377764       600     24030
                                                          25,939,525     606,347       X    X   28-5284   574237     10870     21240
                                                              51,336       1,200       X    X   28-1500     1200
                                                           1,129,820      26,410       X        28-4580    26224                 186
                                                             460,484      10,764       X    X   28-4580     9492                1272

IPC HLDGS LTD                  ORD            G4933P101       49,320       2,000       X        28-5284     2000

KNIGHTSBRIDGE TANKERS LTD      ORD            G5299G106       10,568         400       X    X   28-5284      400

LAZARD LTD                     SHS A          G54050102    1,541,260      38,150       X    X   28-5284    38150

MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105       29,080         656       X        28-5284      656
                                                              12,501         282       X    X   28-5284      282

MONTPELIER RE HOLDINGS LTD     SHS            G62185106       91,637       5,300       X    X   28-5284     5300

NABORS INDUSTRIES LTD          SHS            G6359F103      143,472       4,246       X        28-5284     4246
                                                           1,247,493      36,919       X    X   28-5284    36919
                                                              17,064         505       X    X   28-1500      505
                                                               6,488         192       X    X   28-4580       46                 146

NOBLE CORPORATION              SHS            G65422100      229,362       3,082       X        28-5284     3082
                                                              11,907         160       X    X   28-5284      160
                                                              24,410         328       X    X   28-1500      328

NORDIC AMERICAN TANKER SHIPP   COM            G65773106       25,515         700       X        28-5284      700
                                                               3,645         100       X    X   28-5284      100
                                                               3,645         100       X    X   28-1500      100

OPENTV CORP                    CL A           G67543101        2,829         733       X        28-5284      733

PLATINUM UNDERWRITER HLDGS L   COM            G7127P100        2,099          75       X        28-5284       75

PRUDENTIAL PLC                 PER SUB 6.50%  G7293H189       10,861         449       X        28-5284      449
               COLUMN TOTAL                               96,089,782






FILE NO. 28-1235
 PAGE     3 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC
FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PXRE GROUP LTD                 COM            G73018106       45,708      12,287       X    X   28-5284    12287

QUANTA CAPITAL HLDGS LTD       SHS            G7313F106       19,438       7,505       X        28-5284     7505

RENAISSANCERE HOLDINGS LTD     COM            G7496G103       52,870       1,091       X        28-5284     1091

SEAGATE TECHNOLOGY             SHS            G7945J104       22,617         999       X        28-5284      999
                                                               9,803         433       X    X   28-5284      433

SHIP FINANCE INTERNATIONAL L   SHS            G81075106          640          37       X        28-5284       37
                                                                 640          37       X    X   28-5284       37

STEWART W P & CO LTD           COM            G84922106      152,170       9,998       X        28-5284     9998

TRANSOCEAN INC                 ORD            G90078109    9,120,256     113,549       X        28-5284   112182        75      1292
                                                           4,819,923      60,009       X    X   28-5284    57379       350      2280
                                                           1,108,416      13,800       X       28-11439    13800
                                                             550,192       6,850       X        28-4580     6571                 279
                                                             131,082       1,632       X    X   28-4580     1481                 151

GOLAR LNG LTD BERMUDA          SHS            G9456A100       26,660       2,000       X        28-4580     2000

WEATHERFORD INTERNATIONAL LT   COM            G95089101      101,126       2,038       X        28-5284     2038
                                                             148,066       2,984       X    X   28-5284     2984

WHITE MTNS INS GROUP LTD       COM            G9618E107       12,175          25       X    X   28-5284       25

WILLIS GROUP HOLDINGS LTD      SHS            G96655108    1,922,790      59,900       X        28-5284     8600               51300
                                                             751,943      23,425       X    X   28-5284                        23425

XOMA LTD                       ORD            G9825R107       14,450       8,500       X        28-5284     8500
                                                                 170         100       X    X   28-1500      100

XL CAP LTD                     CL A           G98255105       74,847       1,221       X        28-5284      821                 400
                                                             572,665       9,342       X    X   28-5284     3042                6300

XYRATEX LTD                    COM            G98268108      938,975      35,500       X    X   28-5284    35500

ALCON INC                      COM SHS        H01301102   14,737,167     149,540       X        28-5284   145594       200      3746
                                                           4,159,598      42,208       X    X   28-5284    39762      1260      1186
                                                             335,070       3,400       X        28-4580     3253                 147
                                                              62,382         633       X    X   28-4580      633
               COLUMN TOTAL                               39,891,839






FILE NO. 28-1235
 PAGE     4 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC
FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UBS AG                         NAMEN AKT      H8920M855      402,270       3,667       X        28-5284     3667
                                                             892,958       8,140       X    X   28-5284     6004                2136

ALVARION LTD                   SHS            M0861T100       12,280       2,000       X    X   28-5284     2000
                                                              68,768      11,200       X        28-1500    11200

CHECK POINT SOFTWARE TECH LT   ORD            M22465104      312,453      17,753       X        28-5284    17753
                                                             231,176      13,135       X    X   28-5284    12855                 280
                                                               4,400         250       X        28-4580      250
                                                              40,146       2,281       X    X   28-4580     2281

G WILLI FOOD INTL LTD          ORD            M52523103       69,300      10,000       X       28-11439    10000

ASML HLDG NV                   N Y SHS        N07059111          404          20       X    X   28-5284       20

CNH GLOBAL N V                 SHS NEW        N20935206        2,392         100       X        28-5284      100

CORE LABORATORIES N V          COM            N22717107    1,326,094      21,725       X    X   28-5284    21725

KERZNER INTERNATIONAL LTD      SHS            P6065Y107       47,568         600       X        28-5284      600

ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103       15,300         400       X        28-5284      400

DRYSHIPS INC                   SHS            Y2109Q101       14,027       1,300       X    X   28-5284     1300

DOUBLE HULL TANKERS INC        COM            Y21110104      202,050      15,000       X    X   28-5284    15000

EAGLE BULK SHIPPING INC        COM            Y2187A101       35,625       2,500       X        28-5284     2500
                                                             156,750      11,000       X    X   28-5284    11000

FLEXTRONICS INTL LTD           ORD            Y2573F102    3,343,941     314,872       X        28-5284   314872
                                                           1,289,958     121,465       X    X   28-5284   120265                1200
                                                             151,473      14,263       X        28-1500     2519     11744
                                                              16,514       1,555       X        28-4580     1555
                                                               1,062         100       X    X   28-4580      100

GENERAL MARITIME CORP          SHS            Y2692M103        8,501         230       X    X   28-5284      230
                                                               3,696         100       X    X   28-4580      100

OMI CORP NEW                   COM            Y6476W104        4,330         200       X    X   28-5284      200
                                                              10,825         500       X    X   28-1500      500
               COLUMN TOTAL                                8,664,261





                                                                                                                   FILE NO. 28-1235
 PAGE     5 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SEASPAN CORP                   SHS            Y75638109        2,095         100       X        28-5284      100
                                                              62,850       3,000       X    X   28-5284     3000

TEEKAY LNG PARTNERS L P        PRTNRSP UNITS  Y8564M105        3,040         100       X        28-5284      100
                                                              30,400       1,000       X    X   28-5284     1000

TEEKAY SHIPPING MARSHALL ISL   COM            Y8564W103        4,184         100       X    X   28-5284      100

AAON INC                       COM PAR $0.004 000360206       15,345         598       X    X   28-5284      598

AAR CORP                       COM            000361105        2,223         100       X    X   28-1500      100

ABB LTD                        SPONSORED ADR  000375204       39,424       3,042       X        28-5284     3042
                                                              12,960       1,000       X    X   28-5284     1000

ACCO BRANDS CORP               COM            00081T108      337,983      15,433       X        28-5284    15375                  58
                                                             381,739      17,431       X    X   28-5284    17053                 378
                                                                 504          23       X        28-4580       23
                                                               3,176         145       X    X   28-4580      145

A C MOORE ARTS & CRAFTS INC    COM            00086T103        9,786         600       X    X   28-5284      600

A D C TELECOMMUNICATIONS       COM NEW        000886309       10,082         598       X        28-5284                          598
                                                              12,038         714       X    X   28-5284                          714

ACM INCOME FUND INC            COM            000912105      336,258      45,379       X        28-5284    45379
                                                              29,351       3,961       X    X   28-5284     3961

ABN AMRO HLDG NV               SPONSORED ADR  000937102       16,635         608       X        28-5284      608
                                                                 629          23       X    X   28-5284       23

ACM MUN SECS INCOME FD INC     COM            000942102       21,084       2,100       X    X   28-5284     2100

ABM INDS INC                   COM            000957100       14,022         820       X        28-5284      820

AFLAC INC                      COM            001055102    1,415,575      30,541       X        28-5284    23541                7000
                                                           3,539,240      76,359       X    X   28-5284    76359
                                                              41,715         900       X        28-1500                900

AGCO CORP                      COM            001084102       23,688         900       X        28-5284      900
                                                                 316          12       X    X   28-5284       12
               COLUMN TOTAL                                6,366,342





                                                                                                                   FILE NO. 28-1235
 PAGE     6 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AGL RES INC                    COM            001204106        3,888         102       X        28-5284      102
                                                              31,449         825       X    X   28-5284       75                 750
                                                              45,744       1,200       X    X   28-4580     1200

AES CORP                       COM            00130H105      459,239      24,891       X        28-5284    24043                 848
                                                              83,818       4,543       X    X   28-5284     4543

AK STL HLDG CORP               COM            001547108       41,490       3,000       X        28-5284     3000
                                                               3,444         249       X    X   28-1500      249

AMB PROPERTY CORP              COM            00163T109        2,932          58       X        28-5284       58
                                                               5,207         103       X    X   28-4580       21                  82

AMR CORP                       COM            001765106       43,112       1,696       X        28-5284     1696
                                                              10,804         425       X    X   28-5284      425

ATI TECHNOLOGIES INC           COM            001941103        7,300         500       X        28-5284      500

A S V INC                      COM            001963107       78,336       3,400       X        28-5284     3400
                                                              10,598         460       X    X   28-5284      460

AT&T INC                       COM            00206R102   52,297,710   1,875,142       X        28-5284  1831908      1100     42134
                                                          37,837,861   1,356,682       X    X   28-5284  1281155     32510     43017
                                                             677,727      24,300       X        28-1500              24300
                                                           1,530,771      54,886       X        28-4580    54681                 205
                                                           1,415,613      50,757       X    X   28-4580    49632       425       700

ATMI INC                       COM            00207R101        9,454         384       X        28-5284      384

AU OPTRONICS CORP              SPONSORED ADR  002255107          285          20       X    X   28-5284       20

AVX CORP NEW                   COM            002444107       24,475       1,550       X    X   28-5284                         1550

AARON RENTS INC                COM            002535201        6,720         250       X    X   28-5284      250

ABAXIS INC                     COM            002567105      153,235       6,850       X    X   28-5284     6850

ABBOTT LABS                    COM            002824100   77,990,249   1,788,357       X        28-5284  1722589               65768
                                                          94,601,167   2,169,254       X    X   28-5284  2089355     38520     41379
                                                             545,038      12,498       X        28-1500      175     12323
                                                           1,505,941      34,532       X        28-4580    34532
                                                           1,767,949      40,540       X    X   28-4580    39218      1322
               COLUMN TOTAL                              271,191,556





                                                                                                                   FILE NO. 28-1235
 PAGE     7 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ABER DIAMOND CORP              COM            002893105       15,525         500       X        28-5284      500

ABERCROMBIE & FITCH CO         CL A           002896207       13,137         237       X        28-5284      237
                                                              71,061       1,282       X    X   28-5284     1282
                                                              94,231       1,700       X    X   28-1500     1700
                                                           3,248,198      58,600       X       28-11439    58600

ABERDEEN ASIA PACIFIC INCOM    COM            003009107       14,925       2,500       X        28-5284     2500
                                                              10,746       1,800       X    X   28-5284     1800

ABERDEEN AUSTRALIA EQTY FD I   COM            003011103        1,359         106       X    X   28-5284                          106

ABERDEEN GLOBAL INCOME FD IN   COM            003013109       12,610       1,000       X    X   28-5284     1000

ABIOMED INC                    COM            003654100      306,092      23,600       X    X   28-5284    23600

ABRAXIS BIOSCIENCE INC         COM            00383E106       10,728         450       X    X   28-5284      450

ACADIA PHARMACEUTICALS INC     COM            004225108       10,972       1,300       X    X   28-1500     1300

ACERGY S A                     SPONSORED ADR  00443E104       52,250       3,415       X        28-5284     3415

ACETO CORP                     COM            004446100            7           1       X        28-1500        1

ACME UTD CORP                  COM            004816104      622,200      42,500       X    X   28-5284    42500

ACTIVISION INC NEW             COM NEW        004930202       38,703       3,401       X        28-1500     2841       560

ACTIVE POWER INC               COM            00504W100       17,248       5,088       X        28-5284     5088

ADAMS EXPRESS CO               COM            006212104       23,166       1,800       X        28-5284     1800
                                                              55,586       4,319       X    X   28-5284     4319

ADAPTEC INC                    COM            00651F108        8,680       2,000       X    X   28-5284     2000

ADESA INC                      COM            00686U104       14,456         650       X        28-5284      650
                                                              57,824       2,600       X    X   28-5284     2600
                                                               7,339         330       X    X   28-4580      330

ADMINISTAFF INC                COM            007094105       11,638         325       X    X   28-5284      325

ADOBE SYS INC                  COM            00724F101      934,542      30,782       X        28-5284    30782
                                                             355,485      11,709       X    X   28-5284    11709
               COLUMN TOTAL                                6,008,708





                                                                                                                   FILE NO. 28-1235
 PAGE     8 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ADVANCE AMER CASH ADVANCE CT   COM            00739W107    1,448,804      82,600       X    X   28-5284    82600

ADVANCE AUTO PARTS INC         COM            00751Y106        1,387          48       X        28-5284       48

ADVANTAGE ENERGY INCOME FD     TR UNIT        00762L101      124,768       7,150       X        28-5284     7150
                                                              90,845       5,206       X    X   28-5284     5206
                                                               3,490         200       X    X   28-1500      200

ADVANCED MEDICAL OPTICS INC    NOTE  2.500% 7 00763MAG3      345,750       3,000       X        28-5284     3000

ADVANCED MEDICAL OPTICS INC    COM            00763M108      239,405       4,722       X        28-5284     4722
                                                           1,590,307      31,367       X    X   28-5284    31367
                                                               5,628         111       X    X   28-1500      111
                                                              17,035         336       X    X   28-4580      336

ADVENT CLAYMORE CV SECS & IN   COM            00764C109       32,594       1,338       X        28-5284     1338

ADVANCED MICRO DEVICES INC     COM            007903107      106,911       4,378       X        28-5284     4378
                                                             123,907       5,074       X    X   28-5284     4874                 200
                                                           5,281,680     216,285       X       28-11439   216285

AEGON N V                      ORD AMER REG   007924103    5,139,760     301,099       X        28-5284   288664               12435
                                                           1,668,866      97,766       X    X   28-5284    92828      1001      3937
                                                              15,397         902       X        28-1500                902

ADVANTA CORP                   CL B           007942204    6,487,249     180,452       X        28-5284   180452

ADVENT SOFTWARE INC            COM            007974108        2,092          58       X        28-5284       58
                                                              14,428         400       X    X   28-5284      400

AES TR III                     PFD CV 6.75%   00808N202       35,445         750       X        28-5284      750
                                                              59,075       1,250       X    X   28-5284     1250

AETHER HLDGS INC               COM            00809C106       27,500       5,000       X        28-5284     5000

AETNA INC NEW                  COM            00817Y108      446,497      11,182       X        28-5284    11032                 150
                                                           2,533,199      63,441       X    X   28-5284    63441
                                                              34,939         875       X    X   28-1500      875

AFFILIATED COMPUTER SERVICES   CL A           008190100       55,842       1,082       X        28-5284     1082
                                                              92,898       1,800       X    X   28-5284     1700                 100
               COLUMN TOTAL                               26,025,698





                                                                                                                   FILE NO. 28-1235
 PAGE     9 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AFFILIATED MANAGERS GROUP      COM            008252108       21,201         244       X        28-5284      244
                                                               8,689         100       X    X   28-5284      100

AFFYMETRIX INC                 COM            00826T108        9,088         355       X        28-5284      355
                                                                 256          10       X    X   28-5284       10

AFFORDABLE RESIDENTIAL CMTYS   COM            008273104       43,000       4,000       X        28-4580     4000

AGERE SYS INC                  COM            00845V308        6,086         414       X        28-5284      414
                                                              17,949       1,221       X    X   28-5284      895                 326
                                                                 118           8       X        28-4580        8
                                                                 118           8       X    X   28-4580        8

AGILENT TECHNOLOGIES INC       COM            00846U101    1,617,860      51,263       X        28-5284    50515                 748
                                                           3,188,097     101,017       X    X   28-5284    74265     23595      3157
                                                              32,254       1,022       X        28-4580     1022
                                                              43,237       1,370       X    X   28-4580     1010       360

AGNICO EAGLE MINES LTD         COM            008474108       49,620       1,500       X        28-5284     1500

AGRIUM INC                     COM            008916108       20,434         880       X        28-5284      880

AIR PRODS & CHEMS INC          COM            009158106   18,771,642     293,674       X        28-5284   293309                 365
                                                          14,397,788     225,247       X    X   28-5284   217767      2850      4630
                                                              13,935         218       X    X   28-1500      218
                                                             249,288       3,900       X        28-4580     3900
                                                               6,328          99       X    X   28-4580       53                  46

AIRGAS INC                     COM            009363102       92,678       2,488       X        28-5284     2488
                                                             132,573       3,559       X    X   28-5284     3559

AIRTRAN HLDGS INC              COM            00949P108        8,767         590       X    X   28-4580                          590

AIRSPAN NETWORKS INC           COM            00950H102       83,940      34,686       X    X   28-5284                        34686

AKAMAI TECHNOLOGIES INC        COM            00971T101      164,665       4,550       X        28-5284     4550
                                                           1,497,542      41,380       X    X   28-5284    41380

AKZO NOBEL NV                  SPONSORED ADR  010199305      198,949       3,700       X    X   28-5284     2500                1200

ALABAMA NATL BANCORP DELA      COM            010317105      252,155       3,700       X        28-5284     3200                 500

ALASKA AIR GROUP INC           COM            011659109        3,942         100       X        28-5284      100
               COLUMN TOTAL                               40,932,199





                                                                                                                   FILE NO. 28-1235
 PAGE    10 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALASKA COMMUNICATIONS SYS GR   COM            01167P101        6,325         500       X    X   28-5284      500

ALBANY INTL CORP               CL A           012348108       20,050         473       X        28-5284      473

ALBEMARLE CORP                 COM            012653101      303,320       6,335       X        28-5284     6335

ALBERTO CULVER CO              COM            013068101      167,402       3,436       X    X   28-5284     3336                 100

ALCAN INC                      COM            013716105       51,822       1,104       X        28-5284     1104
                                                              26,803         571       X    X   28-5284      571
                                                              84,492       1,800       X    X   28-1500     1800

ALCOA INC                      COM            013817101   12,662,759     391,309       X        28-5284   389109                2200
                                                          13,584,469     419,792       X    X   28-5284   397997      4291     17504
                                                             101,707       3,143       X        28-4580     3143
                                                             147,529       4,559       X    X   28-4580     4559

ALCATEL                        SPONSORED ADR  013904305        3,342         265       X    X   28-5284      265

ALERIS INTL INC                COM            014477103       60,293       1,315       X        28-5284     1315

ALEXANDER & BALDWIN INC        COM            014482103      190,361       4,300       X        28-5284     4300
                                                             409,498       9,250       X    X   28-5284     8500                 750

ALEXION PHARMACEUTICALS INC    COM            015351109        7,224         200       X    X   28-5284      200

ALIGN TECHNOLOGY INC           COM            016255101       58,773       7,953       X        28-5284     7953

ALKERMES INC                   COM            01642T108        3,311         175       X        28-5284      175
                                                               4,068         215       X    X   28-5284      215

ALLEGHANY CORP DEL             COM            017175100   41,551,002     150,351       X    X   28-5284    75743               74608

ALLEGHENY ENERGY INC           COM            017361106      243,661       6,573       X        28-5284     6573
                                                             196,879       5,311       X    X   28-5284     4686                 625
                                                               7,414         200       X    X   28-4580      200

ALLEGHENY TECHNOLOGIES INC     COM            01741R102      243,656       3,519       X        28-5284     3519
                                                              96,936       1,400       X    X   28-5284     1400
                                                              53,315         770       X    X   28-1500      770
               COLUMN TOTAL                               70,286,411





                                                                                                                   FILE NO. 28-1235
 PAGE    11 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLERGAN INC                   COM            018490102   45,219,314     421,586       X        28-5284   408208       400     12978
                                                          25,951,664     241,951       X    X   28-5284   236832      1920      3199
                                                              34,752         324       X        28-1500      324
                                                              21,452         200       X    X   28-1500      200
                                                             809,706       7,549       X        28-4580     7349                 200
                                                             739,343       6,893       X    X   28-4580     6893

ALLETE INC                     COM NEW        018522300        9,944         210       X        28-5284      210
                                                              45,172         954       X    X   28-5284      954

ALLIANCE DATA SYSTEMS CORP     COM            018581108       70,584       1,200       X    X   28-5284     1200

ALLIANCE RES PARTNER L P       UT LTD PART    01877R108      108,690       3,000       X        28-5284     3000
                                                              14,492         400       X    X   28-5284      400

ALLIANCE WORLD DLR GV FD II    COM            01879R106       21,078       1,755       X        28-5284     1755
                                                              66,055       5,500       X    X   28-5284     5500

ALLIANCE WORLD DLR GV FD INC   COM            018796102       48,491       4,078       X    X   28-5284     4078

ALLIANT ENERGY CORP            COM            018802108       10,290         300       X        28-5284      300
                                                              28,195         822       X    X   28-5284      822

ALLIANT TECHSYSTEMS INC        NOTE  2.750% 2 018804AH7      321,375       3,000       X        28-5284     3000

ALLIANT TECHSYSTEMS INC        COM            018804104       70,089         918       X        28-5284      918
                                                              62,378         817       X    X   28-5284      817

ALLIANZ AKTIENGESELLSCHAFT     SP ADR 1/10 SH 018805101       28,440       1,800       X        28-5284     1800

ALLIANCEBERNSTEIN HOLDING LP   UNIT LTD PARTN 01881G106      337,921       5,527       X        28-5284     5527
                                                           1,296,902      21,212       X    X   28-5284    20712                 500
                                                              61,140       1,000       X    X   28-1500     1000

ALLIED CAP CORP NEW            COM            01903Q108      208,583       7,250       X        28-5284     6950                 300
                                                             981,431      34,113       X    X   28-5284    34113

ALLIED IRISH BKS P L C         SPON ADR ORD   019228402    2,029,814      41,973       X        28-5284    41973
                                                             633,226      13,094       X    X   28-5284     8050                5044
                                                             128,057       2,648       X        28-4580     2648

ALLIED WASTE INDS INC          COM PAR$.01NEW 019589308       51,620       4,544       X        28-5284     4544
                                                                 704          62       X    X   28-5284       62
               COLUMN TOTAL                               79,410,902





                                                                                                                   FILE NO. 28-1235
 PAGE    12 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ALLIS CHALMERS ENERGY INC      COM PAR $.01NW 019645506      132,258       9,732       X    X   28-5284                         9732

ALLSTATE CORP                  COM            020002101   22,175,392     405,178       X        28-5284   393775               11403
                                                          29,966,645     547,536       X    X   28-5284   531900               15636
                                                             370,686       6,773       X        28-4580     6773
                                                             267,247       4,883       X    X   28-4580     4883

ALLTEL CORP                    COM            020039103   46,583,006     729,798       X        28-5284   713420       650     15728
                                                          28,033,242     439,186       X    X   28-5284   390316     13820     35050
                                                              19,277         302       X    X   28-1500      302
                                                             709,279      11,112       X        28-4580    10801                 311
                                                             221,043       3,463       X    X   28-4580     3463

ALLTEL CORP                    PFD C CV $2.06 020039509       12,500          50       X    X   28-5284       50

ALMADEN MINERALS LTD           COM            020283107        3,255       1,500       X        28-5284     1500

ALMOST FAMILY INC              COM            020409108       23,386         974       X        28-1500      974

ALPHA NATURAL RESOURCES INC    COM            02076X102      206,010      10,500       X        28-5284    10500

ALTAIR NANOTECHNOLOGIES INC    COM            021373105        3,080       1,000       X        28-5284     1000
                                                              25,789       8,373       X        28-1500     8373
                                                               4,620       1,500       X    X   28-4580     1500

ALTERA CORP                    COM            021441100    1,370,655      78,100       X        28-5284     9500               68600
                                                             580,028      33,050       X    X   28-5284     2150               30900

ALTRIA GROUP INC               COM            02209S103   73,006,089     994,227       X        28-5284   986940       240      7047
                                                         300,498,103   4,092,307       X    X   28-5284  4076556      1050     14701
                                                             481,701       6,560       X        28-1500               6560
                                                           4,680,942      63,747       X        28-4580    61647                2100
                                                           1,652,542      22,505       X    X   28-4580    22505

ALUMINUM CORP CHINA LTD        SPON ADR H SHS 022276109        5,603          75       X    X   28-5284       75

AMAZON COM INC                 COM            023135106       42,548       1,100       X        28-5284     1100
                                                              37,481         969       X    X   28-5284      969
                                                              11,604         300       X    X   28-4580      300

AMBAC FINL GROUP INC           COM            023139108      208,427       2,570       X        28-5284     2570
                                                               2,028          25       X    X   28-5284       25
               COLUMN TOTAL                              511,334,466





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

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AMCOR LTD                      ADR NEW        02341R302          298          15       X        28-5284       15

AMCOL INTL CORP                COM            02341W103        5,929         225       X    X   28-5284      225

AMDOCS LTD                     NOTE  0.500% 3 02342TAD1      303,750       3,000       X        28-5284     3000

AMEDISYS INC                   COM            023436108        3,790         100       X    X   28-5284      100

AMERCO                         COM            023586100       22,548         224       X        28-5284      224

AMEREN CORP                    COM            023608102      343,148       6,795       X        28-5284     4895                1900
                                                             428,240       8,480       X    X   28-5284     8180                 300
                                                              42,420         840       X    X   28-1500      840
                                                              65,398       1,295       X    X   28-4580     1295

AMERICA FIRST APT INV INC      COM            02363X104       22,320       1,500       X    X   28-5284                         1500

AMERICA MOVIL S A DE C V       SPON ADR L SHS 02364W105      370,117      11,128       X        28-5284    11128
                                                             575,065      17,290       X    X   28-5284    17290
                                                              49,890       1,500       X        28-4580     1500
                                                              39,912       1,200       X    X   28-4580     1200

AMERICA MOVIL S A DE C V       SPON ADR A SHS 02364W204      104,727       3,144       X        28-5284     3144

AMERICAN AXLE & MFG HLDGS IN   COM            024061103          428          25       X        28-5284       25

AMERICAN BANCORP N J INC       COM            02407E104      356,700      30,000       X    X   28-5284    30000

AMERICAN CAMPUS CMNTYS INC     COM            024835100       24,850       1,000       X        28-5284     1000

AMERICAN CAPITAL STRATEGIES    COM            024937104      525,636      15,700       X        28-5284    15700
                                                             180,189       5,382       X    X   28-5284     4382                1000
                                                             160,972       4,808       X        28-1500      138      4670

AMERICAN EAGLE OUTFITTERS NE   COM            02553E106       57,187       1,680       X        28-5284     1680
                                                             694,416      20,400       X    X   28-5284    20400
                                                              17,020         500       X    X   28-1500      500

AMERICAN ELEC PWR INC          COM            025537101    1,301,260      37,993       X        28-5284    37993
                                                             816,828      23,849       X    X   28-5284    23409                 440
                                                           2,757,125      80,500       X    X   28-1500    80500
                                                              50,348       1,470       X        28-4580     1470
                                                             126,794       3,702       X    X   28-4580     3160                 542
               COLUMN TOTAL                                9,447,305





                                                                                                                   FILE NO. 28-1235
 PAGE    14 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 EXPRESS CO            COM            025816109   61,276,550   1,151,382       X        28-5284  1114523       600     36259
                                                          31,372,977     589,496       X    X   28-5284   550063      3870     35563
                                                              33,688         633       X        28-1500                633
                                                           4,944,138      92,900       X       28-11439    92900
                                                             617,618      11,605       X        28-4580    11435                 170
                                                             884,250      16,615       X    X   28-4580    16615

AMERICAN FINL GROUP INC OHIO   NOTE  1.486% 6 025932AD6      152,625       3,000       X        28-5284     3000

AMERICAN FINL GROUP INC OHIO   COM            025932104        8,580         200       X        28-5284      200
                                                               6,435         150       X    X   28-5284      150

AMERICAN FINL RLTY TR          COM            02607P305        4,840         500       X    X   28-1500      500
                                                              19,360       2,000       X        28-4580     2000

AMERICAN GREETINGS CORP        CL A           026375105       34,961       1,664       X        28-5284     1664
                                                               4,202         200       X    X   28-5284      200

AMERICAN HOME MTG INVT CORP    COM            02660R107        2,396          65       X    X   28-5284       65
                                                               3,686         100       X    X   28-1500      100

AMERICAN INTL GROUP INC        COM            026874107  130,133,445   2,203,784       X        28-5284  2127972       350     75462
                                                          69,570,466   1,178,162       X    X   28-5284  1145289     16625     16248
                                                           2,653,412      44,935       X        28-1500     6376     38559
                                                           1,010,050      17,105       X       28-11439    17105
                                                             893,190      15,126       X        28-4580    15056                  70
                                                           2,014,668      34,118       X    X   28-4580    34118

AMERICAN ISRAELI PAPER MLS L   ORD IS 10      027069509        1,748          38       X        28-5284       38
                                                              77,326       1,681       X    X   28-5284     1681

AMERICAN LD LEASE INC          COM            027118108        1,495          61       X    X   28-5284       61

AMERICAN MED SYS HLDGS INC     COM            02744M108       28,305       1,700       X    X   28-5284     1700

AMERICAN NATL INS CO           COM            028591105       25,944         200       X    X   28-5284      200

AMERICAN PWR CONVERSION CORP   COM            029066107        2,066         106       X        28-5284      106
                                                             463,862      23,800       X    X   28-5284     6600               17200

AMERICAN RAILCAR INDS INC      COM            02916P103       49,665       1,500       X    X   28-5284                         1500

AMERICAN REAL ESTATE PARTNR    DEPOSITRY UNIT 029169109        5,549         136       X    X   28-4580       22                 114
               COLUMN TOTAL                              306,297,497





                                                                                                                   FILE NO. 28-1235
 PAGE    15 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 SCIENCE & ENGR INC    COM            029429107       23,168         400       X    X   28-5284      400

AMERICAN STD COS INC DEL       COM            029712106      863,020      19,945       X        28-5284    19945
                                                             191,210       4,419       X    X   28-5284     4419

AMERICAN STS WTR CO            COM            029899101        3,565         100       X        28-5284      100
                                                              17,825         500       X        28-4580      500

AMERICAN TOWER CORP            CL A           029912201       69,180       2,223       X        28-5284     2223
                                                              11,110         357       X    X   28-5284      357
                                                           1,487,536      47,800       X       28-11439    47800

AMERICAN STRATEGIC INCM PTFL   COM            030098107        9,256         874       X        28-5284      874

AMERICAN TECHNOLOGY CORP       COM NEW        030145205        1,335         500       X    X   28-5284      500

AMERICREDIT CORP               COM            03060R101        5,612         201       X        28-5284      201
                                                               8,376         300       X    X   28-5284      300

AMERICASBANK CORP              COM NEW        03061G302      479,500      68,500       X    X   28-5284    68500

AMERICAS CAR MART INC          COM            03062T105        9,607         473       X        28-1500      473

AMERISTAR CASINOS INC          COM            03070Q101       29,175       1,500       X        28-5284     1500

AMERIVEST PPTYS INC DEL        COM            03071L101        8,780       2,000       X        28-5284     2000
                                                               4,390       1,000       X    X   28-1500     1000

AMERUS GROUP CO                COM            03072M108      286,368       4,891       X        28-5284     4891
                                                              19,204         328       X    X   28-5284      328

AMERISOURCEBERGEN CORP         COM            03073E105       36,135         862       X        28-5284      262                 600
                                                              93,985       2,242       X    X   28-5284     2242

AMERITYRE CORP                 COM            03073V107       45,878       5,800       X        28-5284     5800
                                                             124,377      15,724       X    X   28-5284    10000                5724

AMERISERV FINL INC             COM            03074A102        6,309       1,285       X        28-5284     1285
                                                              16,232       3,306       X    X   28-5284     3306
               COLUMN TOTAL                                3,851,133





                                                                                                                   FILE NO. 28-1235
 PAGE    16 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AMERIPRISE FINL INC            COM            03076C106    1,575,824      35,277       X        28-5284    33638                1639
                                                           1,527,357      34,192       X    X   28-5284    31612                2580
                                                             966,659      21,640       X       28-11439    21640
                                                               4,020          90       X        28-4580       90
                                                               2,680          60       X    X   28-4580       60

AMERIGAS PARTNERS L P          UNIT L P INT   030975106       55,310       1,880       X        28-5284     1880
                                                             117,680       4,000       X    X   28-5284     4000

AMETEK INC NEW                 COM            031100100      129,821       2,740       X        28-5284     2740
                                                             196,627       4,150       X    X   28-5284     4150
                                                              47,380       1,000       X    X   28-4580     1000

AMGEN INC                      NOTE         3 031162AL4      294,000       4,000       X        28-5284     4000

AMGEN INC                      COM            031162100   33,206,701     509,071       X        28-5284   504016                5055
                                                          27,936,900     428,283       X    X   28-5284   414730       747     12806
                                                             419,951       6,438       X        28-1500      698      5740
                                                             474,157       7,269       X        28-4580     7269
                                                             856,405      13,129       X    X   28-4580    13129

AMKOR TECHNOLOGY INC           COM            031652100        9,460       1,000       X        28-5284     1000

AMPAL AMERN ISRAEL CORP        CL A           032015109        3,150         630       X        28-5284      630

AMPAL AMERN ISRAEL CORP        PFD CV 6.50%   032015307        5,165         330       X        28-5284      330
                                                              50,643       3,236       X    X   28-5284     3236

AMPCO-PITTSBURGH CORP          COM            032037103       17,190         600       X    X   28-5284                          600

AMPHENOL CORP NEW              CL A           032095101       11,192         200       X        28-5284      200
                                                           1,091,220      19,500       X    X   28-5284    19500

AMREIT                         CL A           032158107        9,348       1,302       X    X   28-1500     1302

AMSOUTH BANCORPORATION         COM            032165102      279,894      10,582       X        28-5284    10582
                                                             218,477       8,260       X    X   28-5284     4260      4000
                                                             251,275       9,500       X        28-1500               9500

AMSURG CORP                    COM            03232P405       22,181         975       X        28-5284      975
                                                               1,524          67       X        28-1500       67
               COLUMN TOTAL                               69,782,191





                                                                                                                   FILE NO. 28-1235
 PAGE    17 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AMYLIN PHARMACEUTICALS INC     COM            032346108       14,811         300       X        28-5284      300
                                                               9,874         200       X    X   28-1500      200

ANADARKO PETE CORP             COM            032511107    7,979,682     167,324       X        28-5284   159274                8050
                                                           5,844,028     122,542       X    X   28-5284   119054                3488
                                                               2,861          60       X    X   28-4580       60

ANADYS PHARMACEUTICALS INC     COM            03252Q408          292         100       X    X   28-5284      100

ANALOG DEVICES INC             COM            032654105      940,577      29,265       X        28-5284    26065                3200
                                                             831,076      25,858       X    X   28-5284    25858
                                                               6,428         200       X        28-4580      200
                                                               6,428         200       X    X   28-4580      200

ANDREW CORP                    NOTE  3.250% 8 034425AB4      290,625       3,000       X        28-5284     3000

ANDREW CORP                    COM            034425108        4,714         532       X        28-5284      532
                                                               3,969         448       X    X   28-5284      448
                                                               8,860       1,000       X        28-4580     1000

ANGLO AMERN PLC                ADR            03485P102       59,603       2,916       X        28-5284     2916
                                                           1,259,349      61,612       X    X   28-5284    61612

ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206       14,436         300       X        28-5284      300
                                                              33,684         700       X    X   28-5284      700

ANHEUSER BUSCH COS INC         COM            035229103   21,146,010     463,830       X        28-5284   446880               16950
                                                          19,530,665     428,398       X    X   28-5284   419157       100      9141
                                                             409,170       8,975       X        28-1500               8975
                                                             309,830       6,796       X        28-4580     6796
                                                             422,938       9,277       X    X   28-4580     9277

ANIXTER INTL INC               COM            035290105       11,865         250       X        28-5284      250
                                                              12,767         269       X    X   28-5284      269

ANNALY MTG MGMT INC            COM            035710409       17,934       1,400       X        28-5284     1400
                                                               6,405         500       X    X   28-5284      500

ANSOFT CORP                    COM            036384105       20,480       1,000       X    X   28-5284     1000

ANSYS INC                      COM            03662Q105       47,820       1,000       X        28-5284     1000
                                                              64,557       1,350       X    X   28-5284     1350
               COLUMN TOTAL                               59,311,738





                                                                                                                   FILE NO. 28-1235
 PAGE    18 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ANTHRACITE CAP INC             COM            037023108       72,437       5,957       X        28-5284     5957

ANWORTH MORTGAGE ASSET CP      COM            037347101      124,500      15,000       X        28-4580    15000

AON CORP                       COM            037389103      628,222      18,042       X        28-5284    18042
                                                           1,257,002      36,100       X    X   28-5284    36100
                                                           1,594,756      45,800       X       28-11439    45800

APACHE CORP                    COM            037411105    2,456,864      35,998       X        28-5284    17430               18568
                                                           6,051,045      88,660       X    X   28-5284    72672               15988
                                                             119,233       1,747       X    X   28-1500     1747

APARTMENT INVT & MGMT CO       CL A           03748R101       12,427         286       X        28-5284      286
                                                               8,690         200       X    X   28-5284      200

APOGEE ENTERPRISES INC         COM            037598109       14,700       1,000       X    X   28-5284     1000

APOLLO GROUP INC               CL A           037604105      152,427       2,950       X        28-5284      950                2000
                                                              56,889       1,101       X    X   28-5284     1101

APOLLO INVT CORP               COM            03761U106        2,033         110       X        28-5284      110
                                                              18,480       1,000       X    X   28-5284     1000

APPLE COMPUTER INC             COM            037833100    4,286,774      74,852       X        28-5284    74852
                                                           3,079,522      53,772       X    X   28-5284    53287        60       425
                                                             190,022       3,318       X        28-1500               3318
                                                                 229           4       X        28-4580        4
                                                              91,632       1,600       X    X   28-4580     1600

APPLEBEES INTL INC             COM            037899101       34,461       1,793       X        28-5284      518                1275
                                                               4,228         220       X    X   28-5284      220

APRIA HEALTHCARE GROUP INC     COM            037933108        3,780         200       X    X   28-5284      200

APPLERA CORP                   COM AP BIO GRP 038020103      483,633      14,950       X        28-5284    14950
                                                             393,732      12,171       X    X   28-5284    12171
                                                              43,867       1,356       X    X   28-4580     1356

APPLERA CORP                   COM CE GEN GRP 038020202       32,375       2,500       X        28-5284     2500
                                                              14,141       1,092       X    X   28-5284     1092
                                                               4,377         338       X    X   28-4580      338

APPLIED DIGITAL SOLUTIONS      COM NEW        038188306        5,292       2,800       X        28-5284     2800
               COLUMN TOTAL                               21,237,770





                                                                                                                   FILE NO. 28-1235
 PAGE    19 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 FILMS CORP             COM            038197109        5,698         200       X        28-5284      200

APPLIED INDL TECHNOLOGIES IN   COM            03820C105       18,233         750       X        28-5284      750

APPLIED MICRO CIRCUITS CORP    COM            03822W109        2,075         760       X        28-5284      760
                                                               3,276       1,200       X    X   28-5284      700                 500

APPLIED MATLS INC              COM            038222105   13,651,350     838,535       X        28-5284   814335               24200
                                                           4,773,850     293,234       X    X   28-5284   251617     35900      5717
                                                             388,018      23,834       X        28-1500     2364     21470
                                                               6,024         370       X        28-4580      370

APTARGROUP INC                 COM            038336103        7,938         160       X        28-5284      160

AQUA AMERICA INC               COM            03836W103    1,173,867      51,508       X        28-5284    51508
                                                           3,651,482     160,223       X    X   28-5284   156415                3808
                                                             875,432      38,413       X    X   28-1500    38413
                                                               7,589         333       X        28-4580      333

AQUILA INC                     COM            03840P102        4,210       1,000       X        28-5284     1000
                                                              12,630       3,000       X    X   28-5284     3000

ARACRUZ CELULOSE S A           SPON ADR PFD B 038496204       26,210         500       X    X   28-5284      500

ARAMARK CORP                   CL B           038521100      165,550       5,000       X        28-5284     5000
                                                           9,933,728     300,022       X    X   28-5284   300022

ARBOR RLTY TR INC              COM            038923108       10,020         400       X    X   28-1500      400

ARCH CHEMICALS INC             COM            03937R102          505          14       X        28-5284       14
                                                             278,198       7,717       X    X   28-5284     7717

ARCH COAL INC                  COM            039380100       97,536       2,302       X        28-5284     2302
                                                              50,081       1,182       X    X   28-5284      482                 700

ARCHER DANIELS MIDLAND CO      COM            039483102   20,552,032     497,869       X        28-5284   486299       500     11070
                                                           7,499,957     181,685       X    X   28-5284   168180      6620      6885
                                                              20,640         500       X    X   28-1500      500
                                                             540,273      13,088       X        28-4580    12490                 598
                                                             108,979       2,640       X    X   28-4580     2440                 200

ARCHSTONE SMITH TR             COM            039583109      315,394       6,200       X        28-5284     6200
                                                           5,549,154     109,085       X    X   28-5284     9085              100000
               COLUMN TOTAL                               69,729,929





                                                                                                                   FILE NO. 28-1235
 PAGE    20 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ARGONAUT GROUP INC             COM            040157109        4,055         135       X        28-5284      135
                                                              15,020         500       X    X   28-5284      500

ARIBA INC                      COM NEW        04033V203        1,366         166       X        28-5284      166

ARKANSAS BEST CORP DEL         COM            040790107        5,021         100       X    X   28-5284      100

ARM HLDGS PLC                  SPONSORED ADR  042068106       20,326       3,247       X    X   28-5284     3247

ARMOR HOLDINGS INC             COM            042260109       27,415         500       X        28-5284      500
                                                              19,191         350       X    X   28-5284      350
                                                               2,303          42       X    X   28-1500       42

ARROW ELECTRS INC              COM            042735100       26,307         817       X        28-5284      817
                                                              57,960       1,800       X    X   28-5284                         1800

ARROWHEAD RESH CORP            COM            042797100        5,080       1,000       X        28-5284     1000

ARTESIAN RESOURCES CORP        CL A           043113208       43,830       1,500       X        28-5284     1500
                                                              24,837         850       X    X   28-5284      850
                                                              96,426       3,300       X    X   28-1500     3300

ARTHROCARE CORP                COM            043136100      105,025       2,500       X        28-5284     2500
                                                             210,050       5,000       X    X   28-5284     5000

ARVINMERITOR INC               COM            043353101       51,931       3,021       X        28-5284     3021
                                                             110,807       6,446       X    X   28-5284     6446

ASHLAND INC NEW                COM            044209104      946,340      14,188       X        28-5284    10688                3500
                                                             129,065       1,935       X    X   28-5284     1935
                                                             188,828       2,831       X    X   28-1500     2831

ASIA TIGERS FD INC             COM            04516T105        5,280         300       X        28-5284      300

ASPREVA PHARMACEUTICALS CORP   COM            04538T109        2,714         100       X        28-5284      100

ASSOCIATED BANC CORP           COM            045487105   11,675,811     370,308       X        28-5284   358933       500     10875
                                                           5,036,602     159,740       X    X   28-5284   139065     18450      2225
                                                             329,930      10,464       X        28-4580    10308                 156
                                                              31,845       1,010       X    X   28-4580     1010

ASSURANT INC                   COM            04621X108      653,400      13,500       X    X   28-5284    13500
               COLUMN TOTAL                               19,826,765





                                                                                                                   FILE NO. 28-1235
 PAGE    21 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ASTA FDG INC                   COM            046220109    1,065,615      28,500       X    X   28-5284    28500

ASTORIA FINL CORP              COM            046265104        9,135         300       X        28-5284      300
                                                             140,070       4,600       X    X   28-5284               4600

ASTRAZENECA PLC                SPONSORED ADR  046353108       99,361       1,661       X        28-5284      791                 870
                                                              44,566         745       X    X   28-5284      745

ATLANTIC TELE NETWORK INC      COM NEW        049079205        8,332         400       X        28-5284      400

ATLANTIS PLASTICS INC          COM            049156102       24,915       2,750       X        28-5284     2750

ATLAS AMER INC                 COM            049167109      118,926       2,654       X    X   28-5284     2654

ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103        8,182         200       X        28-5284      200

ATMEL CORP                     COM            049513104      527,250      95,000       X    X   28-5284    95000

ATMOS ENERGY CORP              COM            049560105      435,396      15,600       X        28-5284    10600                5000
                                                              92,801       3,325       X    X   28-5284     3325
                                                              24,784         888       X    X   28-1500      888

ATRION CORP                    COM            049904105       81,807       1,154       X        28-1500     1154

AUBURN NATL BANCORP            COM            050473107      466,521      20,100       X        28-1500    20100

AUDIBLE INC                    COM NEW        05069A302          909         100       X        28-5284      100

AUSTRALIA&NEW ZEALAND BKG GR   SPONSORED ADR  052528304       19,846         200       X    X   28-5284      200

AUTODESK INC                   COM            052769106       45,212       1,312       X        28-5284     1312
                                                              16,437         477       X    X   28-5284      477
                                                              39,284       1,140       X    X   28-1500     1140

AUTOLIV INC                    COM            052800109      156,473       2,766       X        28-5284     2460                 306
                                                             302,310       5,344       X    X   28-5284     5344

AUTOMATIC DATA PROCESSING IN   COM            053015103   86,595,644   1,909,496       X        28-5284  1812461               97035
                                                          43,098,327     950,349       X    X   28-5284   924356      4205     21788
                                                             727,459      16,041       X        28-1500     6368      9673
                                                             262,577       5,790       X        28-4580     5790
                                                             818,295      18,044       X    X   28-4580    18044
               COLUMN TOTAL                              135,230,434





                                                                                                                   FILE NO. 28-1235
 PAGE    22 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
AUTOZONE INC                   COM            053332102       34,398         390       X        28-5284      390
                                                              71,266         808       X    X   28-5284      808

AVALONBAY CMNTYS INC           COM            053484101      320,798       2,900       X    X   28-5284     2900

AVATAR HLDGS INC               COM            053494100      125,334       2,200       X        28-5284     1300                 900
                                                              39,879         700       X    X   28-5284                          700

AVAYA INC                      COM            053499109       40,838       3,576       X        28-5284     3346                 230
                                                             101,353       8,875       X    X   28-5284     3152                5723
                                                               1,507         132       X    X   28-4580      132

AVERY DENNISON CORP            COM            053611109    1,466,886      25,265       X        28-5284    25265
                                                           2,383,131      41,046       X    X   28-5284    41046

AVID TECHNOLOGY INC            COM            05367P100       22,998         690       X        28-5284      690
                                                              52,661       1,580       X    X   28-5284     1580
                                                              29,997         900       X    X   28-4580      900

AVISTA CORP                    COM            05379B107        9,132         400       X    X   28-5284      400

AVNET INC                      COM            053807103       40,040       2,000       X    X   28-5284     2000

AVIZA TECHNOLOGY INC           COM            05381A105          779         150       X        28-5284      150

AVON PRODS INC                 COM            054303102    3,260,766     105,186       X        28-5284    89530               15656
                                                             302,312       9,752       X    X   28-5284     8952                 800

AXA                            SPONSORED ADR  054536107       41,401       1,263       X        28-5284     1263
                                                              12,358         377       X    X   28-5284      377

AXCELIS TECHNOLOGIES INC       COM            054540109        5,900       1,000       X        28-5284     1000
                                                              55,844       9,465       X    X   28-5284     9465

AZTAR CORP                     COM            054802103       62,352       1,200       X        28-5284     1200
                                                               3,585          69       X    X   28-4580       10                  59

BB&T CORP                      COM            054937107    6,086,821     146,353       X        28-5284   142681                3672
                                                             564,252      13,567       X    X   28-5284     3498      9187       882
                                                           1,435,853      34,524       X        28-1500    33000      1524
                                                             119,114       2,864       X        28-4580     2864

B A S F  A G                   SPONSORED ADR  055262505       10,438         130       X        28-5284      130
               COLUMN TOTAL                               16,701,993





                                                                                                                   FILE NO. 28-1235
 PAGE    23 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BCE INC                        COM            05534B109        2,365         100       X        28-5284      100
                                                              20,150         852       X    X   28-5284      852

BG PLC                         ADR FIN INST N 055434203        1,271          19       X        28-5284       19
                                                              20,064         300       X    X   28-5284      300
                                                              31,434         470       X    X   28-4580      470

BJS WHOLESALE CLUB INC         COM            05548J106       77,963       2,750       X        28-5284     2750
                                                              11,340         400       X    X   28-5284      400

BJ SVCS CO                     COM            055482103      223,933       6,010       X        28-5284     6010
                                                             591,167      15,866       X    X   28-5284    15266                 600
                                                               4,918         132       X        28-1500                132

BOK FINL CORP                  COM NEW        05561Q201       19,024         383       X        28-5284      383

BOC GROUP PLC                  SPONSORED ADR  055617609        2,340          40       X        28-5284       40

BP PLC                         SPONSORED ADR  055622104  123,160,695   1,769,296       X        28-5284  1755812       200     13284
                                                         206,568,301   2,967,509       X    X   28-5284  1643885     31407   1292217
                                                             808,451      11,614       X        28-1500              11614
                                                           3,653,342      52,483       X        28-4580    52483
                                                           8,676,121     124,639       X    X   28-4580    75123      1000     48516

BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107      191,760       2,400       X        28-5284     2400
                                                             141,743       1,774       X    X   28-5284     1774
                                                              15,980         200       X    X   28-1500      200

BRE PROPERTIES INC             CL A           05564E106      264,605       4,811       X    X   28-5284     4811

BT GROUP PLC                   ADR            05577E101       26,175         591       X        28-5284      591
                                                               4,429         100       X    X   28-5284      100

BMC SOFTWARE INC               COM            055921100       50,190       2,100       X        28-5284     2100
                                                              77,723       3,252       X    X   28-5284      452                2800

BNCCORP INC                    COM            055936108    1,440,750     113,000       X        28-1500   113000
               COLUMN TOTAL                              346,086,234





                                                                                                                   FILE NO. 28-1235
 PAGE    24 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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   12,706,885     155,246       X        28-5284   125746               29500
                                                           5,426,573      66,299       X    X   28-5284    53979               12320
                                                              54,840         670       X    X   28-1500      670
                                                              40,925         500       X       28-11439      500
                                                              69,573         850       X        28-4580      850
                                                             140,618       1,718       X    X   28-4580     1718

BALL CORP                      COM            058498106    2,797,668      75,531       X        28-5284    75031                 500
                                                           2,440,714      65,894       X    X   28-5284    64319                1575
                                                              28,521         770       X        28-4580      770
                                                              81,488       2,200       X    X   28-4580     2200

BALLARD PWR SYS INC            COM            05858H104          878         150       X        28-5284      150
                                                              26,471       4,525       X    X   28-5284     4525

BANCO BILBAO VIZCAYA ARGENTA   SPONSORED ADR  05946K101        1,813          88       X        28-5284       88
                                                                 536          26       X    X   28-5284       26

BANCO BRADESCO S A             SP ADR PFD NEW 059460303       11,721         377       X        28-5284      377
                                                              58,294       1,875       X    X   28-5284     1875

BANCO SANTANDER CENT HISPANO   ADR            05964H105      206,727      14,140       X        28-5284    14140
                                                              29,240       2,000       X    X   28-5284     2000

BANCORP INC DEL                COM            05969A105       24,685         987       X        28-5284      987
                                                             165,066       6,600       X    X   28-5284               6600

BANCORPSOUTH INC               COM            059692103      149,875       5,500       X        28-5284     5500
                                                              41,965       1,540       X    X   28-5284     1540
                                                               8,175         300       X    X   28-1500      300

BANCROFT FUND LTD              COM            059695106       52,646       2,855       X        28-5284     2855

BANK OF AMERICA CORPORATION    COM            060505104  263,923,594   5,486,977       X        28-5284  5429135      1400     56442
                                                         247,230,585   5,139,929       X    X   28-5284  5006547     56466     76916
                                                           9,200,376     191,276       X        28-1500   176400     14876
                                                           6,044,871     125,673       X        28-4580   125093                 580
                                                           2,427,367      50,465       X    X   28-4580    49345       378       742

BANK HAWAII CORP               COM            062540109       34,918         704       X        28-5284      704
                                                             148,800       3,000       X    X   28-5284     3000

BANK MONTREAL QUE              COM            063671101    2,696,000      50,000       X        28-5284    50000
               COLUMN TOTAL                              556,272,408





                                                                                                                   FILE NO. 28-1235
 PAGE    25 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 NEW YORK INC              COM            064057102    2,213,106      68,730       X        28-5284    44059               24671
                                                           1,151,311      35,755       X    X   28-5284    29705      5000      1050
                                                             202,860       6,300       X        28-4580     4700                1600

BANK NOVA SCOTIA HALIFAX       COM            064149107    4,614,975     116,100       X        28-5284   116100
                                                              31,800         800       X    X   28-5284      800

BANK WILMINGTON CORP           COM            065820102      252,978      19,687       X    X   28-5284    19687

BANKATLANTIC BANCORP           CL A           065908501       14,840       1,000       X        28-5284     1000
                                                             118,720       8,000       X    X   28-5284               8000

BANNER CORP                    COM            06652V109      116,853       3,032       X    X   28-4580     3032

BANTA CORP                     COM            066821109        8,108         175       X    X   28-5284      175

BAR HBR BANKSHARES             COM            066849100       57,900       2,000       X    X   28-5284     2000

BARCLAYS PLC                   ADR            06738E204        7,325         160       X        28-5284      160
                                                               8,424         184       X    X   28-5284      184

BARD C R INC                   COM            067383109   32,254,840     440,279       X        28-5284   428542       600     11137
                                                          10,579,550     144,411       X    X   28-5284   135099      4000      5312
                                                             228,938       3,125       X    X   28-1500     3125
                                                             831,135      11,345       X        28-4580    11195                 150
                                                             146,520       2,000       X    X   28-4580     2000

BARNES & NOBLE INC             COM            067774109       50,735       1,390       X        28-5284     1090                 300
                                                              65,481       1,794       X    X   28-5284     1794
                                                              69,350       1,900       X    X   28-1500     1900

BARNES GROUP INC               COM            067806109       15,601         782       X        28-5284      782

BARRICK GOLD CORP              COM            067901108      169,223       5,717       X        28-5284     5717
                                                           1,356,124      45,815       X    X   28-5284    45815

BARR PHARMACEUTICALS INC       COM            068306109    1,264,977      26,525       X        28-5284    25475                1050
                                                           3,432,202      71,969       X    X   28-5284    71969
                                                              13,592         285       X    X   28-1500      285

BARRY R G CORP OHIO            COM            068798107       33,750       5,000       X    X   28-5284     5000
               COLUMN TOTAL                               59,311,218





                                                                                                                   FILE NO. 28-1235
 PAGE    26 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BAUSCH & LOMB INC              COM            071707103      262,364       5,350       X        28-5284     5350
                                                             250,104       5,100       X    X   28-5284     5100

BAXTER INTL INC                COM            071813109    7,064,427     192,177       X        28-5284   165417               26760
                                                           7,237,860     196,895       X    X   28-5284   166205       300     30390
                                                              50,729       1,380       X    X   28-1500     1380
                                                              11,763         320       X        28-4580      320
                                                              79,071       2,151       X    X   28-4580     2151

BAYER A G                      SPONSORED ADR  072730302      106,557       2,321       X        28-5284     1321                1000
                                                             126,253       2,750       X    X   28-5284      300                2450
                                                               4,591         100       X    X   28-1500      100

BAYTEX ENERGY TR               TRUST UNIT     073176109       37,975       1,750       X    X   28-5284     1750

BE AEROSPACE INC               COM            073302101       16,002         700       X        28-5284      700
                                                               9,144         400       X    X   28-5284      400

BEA SYS INC                    COM            073325102      238,081      18,188       X        28-5284    12588                5600
                                                             165,458      12,640       X    X   28-5284     4940                7700
                                                              13,692       1,046       X        28-1500      946       100

BEACON POWER CORP              COM            073677106          666         516       X        28-5284      516

BEAR STEARNS COS INC           COM            073902108      455,260       3,250       X        28-5284     2350                 900
                                                             971,175       6,933       X    X   28-5284      861                6072
                                                           2,038,164      14,550       X       28-11439    14550

BEBE STORES INC                COM            075571109           15           1       X        28-1500        1

BECKMAN COULTER INC            COM            075811109       40,107         722       X        28-5284       72                 650
                                                             718,428      12,933       X    X   28-5284     9753                3180
                                                              22,442         404       X    X   28-4580      404

BECTON DICKINSON & CO          COM            075887109    1,052,292      17,214       X        28-5284    17214
                                                           3,978,402      65,081       X    X   28-5284    55481                9600

BED BATH & BEYOND INC          COM            075896100    8,162,838     246,091       X        28-5284   240031       100      5960
                                                           4,984,323     150,266       X    X   28-5284   145076       600      4590
                                                             169,134       5,099       X        28-4580     5099
                                                             287,053       8,654       X    X   28-4580     8394                 260

BELDEN CDT INC                 COM            077454106        3,305         100       X        28-5284      100
               COLUMN TOTAL                               38,557,675





                                                                                                                   FILE NO. 28-1235
 PAGE    27 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BELLSOUTH CORP                 COM            079860102   37,611,981   1,039,005       X        28-5284  1010390               28615
                                                          26,956,801     744,663       X    X   28-5284   697450      1768     45445
                                                             401,422      11,089       X        28-1500              11089
                                                           2,692,737      74,385       X        28-4580    74385
                                                             806,536      22,280       X    X   28-4580    21904                 376

BELO CORP                      COM SER A      080555105      146,125       9,367       X        28-5284     6667                2700
                                                              49,858       3,196       X    X   28-5284                         3196

BEMA GOLD CORP                 COM            08135F107       25,100       5,000       X        28-5284     5000

BEMIS INC                      COM            081437105    1,008,470      32,935       X        28-5284    32935
                                                             349,344      11,409       X    X   28-5284    11409

BENCHMARK ELECTRS INC          COM            08160H101       35,625       1,477       X        28-5284     1477

BENTLEY PHARMACEUTICALS INC    COM            082657107        5,480         500       X        28-5284      500

BERKLEY W R CORP               COM            084423102    7,321,124     214,507       X        28-5284   214507
                                                           1,264,175      37,040       X    X   28-5284    37040

BERKSHIRE HATHAWAY INC DEL     CL A           084670108            0         233       X        28-5284      220                  13
                                                                   0         879       X    X   28-5284      839                  40
                                                                   0           5       X    X   28-1500        5
                                                                   0           1       X        28-4580                            1
                                                                   0          10       X    X   28-4580       10

BERKSHIRE HATHAWAY INC DEL     CL B           084670207   46,372,277      15,239       X        28-5284    14821                 418
                                                          20,025,983       6,581       X    X   28-5284     6250        90       241
                                                             903,771         297       X        28-1500      169       128
                                                             249,526          82       X        28-4580       82
                                                             569,041         187       X    X   28-4580      144                  43

BERKSHIRE HILLS BANCORP INC    COM            084680107       14,192         400       X        28-5284      400

BERRY PETE CO                  CL A           085789105       38,123       1,150       X    X   28-5284                         1150

BEST BUY INC                   SDCV  2.250% 1 086516AF8      370,125       3,000       X        28-5284     3000

BEST BUY INC                   COM            086516101   13,003,167     237,111       X        28-5284   233446                3665
                                                           6,659,879     121,442       X    X   28-5284   115707      2050      3685
                                                             252,812       4,610       X        28-4580     4610
                                                             136,387       2,487       X    X   28-4580     2487
               COLUMN TOTAL                              167,270,061





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

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BHP BILLITON LTD               SPONSORED ADR  088606108      350,504       8,138       X        28-5284     3141                4997
                                                             578,215      13,425       X    X   28-5284     9675        50      3700
                                                               4,307         100       X    X   28-1500      100
                                                              43,070       1,000       X        28-4580     1000
                                                               4,565         106       X    X   28-4580       24                  82

BIO IMAGING TECHNOLOGIES INC   COM            09056N103      117,873      28,610       X    X   28-5284                        28610

BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602      690,880      31,750       X    X   28-5284    31750

BIO RAD LABS INC               CL A           090572207       97,410       1,500       X        28-5284      700                 800
                                                              58,446         900       X    X   28-5284                          900

BIOMET INC                     COM            090613100      377,013      12,049       X        28-5284    11749                 300
                                                             628,303      20,080       X    X   28-5284    14880       100      5100
                                                              63,362       2,025       X        28-1500               2025

BIOGEN IDEC INC                COM            09062X103       83,469       1,802       X        28-5284     1802
                                                             176,201       3,804       X    X   28-5284     2309                1495

BIOMED REALTY TRUST INC        COM            09063H107        5,988         200       X        28-5284      200

BIOTECH HOLDERS TR             DEPOSTRY RCPTS 09067D201      282,368       1,600       X        28-5284     1600
                                                             335,312       1,900       X    X   28-5284      900                1000

BIOVAIL CORP                   COM            09067J109        3,512         150       X    X   28-5284      150

BLACK & DECKER CORP            COM            091797100   25,929,304     307,001       X        28-5284   297919                9082
                                                           7,899,966      93,535       X    X   28-5284    90072      2310      1153
                                                               8,446         100       X    X   28-1500      100
                                                             833,282       9,866       X        28-4580     9595                 271
                                                             166,809       1,975       X    X   28-4580     1849                 126

BLACK BOX CORP DEL             COM            091826107       61,328       1,600       X    X   28-5284     1000       200       400

BLACKROCK GLOBAL FLG INC TR    COM            091941104       28,440       1,500       X        28-5284     1500
                                                              53,088       2,800       X    X   28-5284     2800

BLACK HILLS CORP               COM            092113109       61,794       1,800       X    X   28-5284     1800

BLACKROCK FLA INVT QUALITY M   COM            09247B109       49,337       3,455       X        28-5284     3455
               COLUMN TOTAL                               38,992,592





                                                                                                                   FILE NO. 28-1235
 PAGE    29 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 INVT QUALITY MUN T   COM            09247D105      469,560      27,300       X        28-5284    27300
                                                               5,160         300       X    X   28-5284      300

BLACKROCK NY INVT QUALITY MU   COM            09247E103      241,709      15,798       X        28-5284    15798
                                                             176,134      11,512       X    X   28-5284    11512

BLACKROCK INCOME TR INC        COM            09247F100       26,426       4,325       X        28-5284     4325
                                                              69,135      11,315       X    X   28-5284    11315

BLACKROCK FL INSD MUN 2008 T   COM            09247H106       84,360       6,043       X        28-5284     6043
                                                              41,880       3,000       X    X   28-5284                         3000

BLACKROCK INSD MUN 2008 TRM    COM            09247K109      114,534       7,555       X        28-5284     7555
                                                             188,803      12,454       X    X   28-5284      454               12000
                                                               1,713         113       X    X   28-4580      113

BLACKROCK NY INSD MUN 2008 T   COM            09247L107       19,188       1,300       X        28-5284     1300

BLACKROCK MUN TARGET TERM TR   COM            09247M105       53,126       5,350       X        28-5284     5350
                                                             526,638      53,035       X    X   28-5284    43035               10000

BLACKROCK INC                  CL A           09247X101   76,877,508     552,400       X        28-5284   552400
                                                           1,927,922      13,853       X    X   28-5284     6170                7683
                                                             904,605       6,500       X    X   28-1500     6500
                                                         596,065,110   4,283,000       X                 4283000

BLACKROCK INSD MUN TERM TR I   COM            092474105       15,024       1,600       X        28-5284     1600
                                                             298,499      31,789       X    X   28-5284    13789               18000

BLACKROCK INCOME OPP TRUST I   COM            092475102       55,974       5,700       X        28-5284     5700
                                                              63,830       6,500       X    X   28-5284     5500                1000

BLACKROCK INSD MUN INCOME TR   COM            092479104      101,489       7,333       X        28-5284     7333
                                                              13,840       1,000       X    X   28-5284     1000

BLACKROCK MUNI 2018 TERM TR    COM            09248C106       86,270       5,516       X        28-5284     5516

BLACKROCK MUN INCOME TR        SH BEN INT     09248F109      283,155      17,255       X        28-5284    17255
                                                             106,763       6,506       X    X   28-5284     6506

BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101       47,880       2,800       X        28-5284     2800
                                                             145,162       8,489       X    X   28-5284     8489

BLACKROCK N Y MUN INCOME TR    SH BEN INT     09248L106       50,133       3,159       X    X   28-5284     3159
               COLUMN TOTAL                              679,061,530





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

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 HIGH YIELD TR        SH BEN INT     09248N102       50,086       6,348       X        28-5284     6348

BLACKROCK PA STRATEGIC MUN T   COM            09248R103      308,507      18,201       X        28-5284    18201
                                                             369,934      21,825       X    X   28-5284    21825

BLACKROCK STRATEGIC MUN TR     COM            09248T109      166,628       9,750       X    X   28-5284     9750

BLACKROCK NJ MUNICIPAL BOND    COM            09249A109       37,614       2,142       X        28-5284     2142
                                                              21,599       1,230       X    X   28-5284     1230

BLACKROCK CA MUNI 2018 TERM    COM            09249C105       48,640       3,200       X    X   28-5284     3200

BLACKROCK CORE BD TR           SHS BEN INT    09249E101       62,600       5,195       X        28-5284     5195
                                                              12,857       1,067       X    X   28-5284     1067

BLACKROCK MUNICIPAL BOND TR    COM            09249H104       72,793       4,242       X        28-5284     4242

BLACKROCK FL MUNICIPAL BOND    COM            09249K107       20,568       1,333       X        28-5284     1333

BLACKROCK MUNI INCOME TR II    COM            09249N101       36,124       2,200       X    X   28-5284     2200
                                                              30,459       1,855       X    X   28-1500     1855

BLACKROCK PFD OPPORTUNITY TR   COM SHS        09249V103      247,200      10,000       X        28-5284    10000
                                                              87,509       3,540       X    X   28-5284     3540

BLACKROCK LTD DURATION INC T   COM SHS        09249W101       69,312       3,800       X        28-5284     3800
                                                             109,440       6,000       X    X   28-5284     6000

BLACKROCK STRAT DIVD ACHIEVE   COM            09249Y107       13,100       1,000       X    X   28-5284     1000

BLACKROCK DIVID ACHIEVRS TM    COM            09250N107      179,900      14,000       X        28-5284    14000
                                                              24,094       1,875       X    X   28-5284     1875
                                                             102,800       8,000       X    X   28-1500     8000

BLACKROCK GLBL ENRGY & RES T   COM            09250U101       10,584         400       X        28-5284      400

BLACKROCK ENHANCED DIV ACHV    COM            09251A104       50,663       3,750       X        28-5284     3750
                                                              86,748       6,421       X    X   28-5284     6421
                                                              13,510       1,000       X    X   28-1500     1000

BLAIR CORP                     COM            092828102    6,839,168     229,888       X        28-5284   229888

BLDRS INDEX FDS TR             EMER MK 50 ADR 09348R300       24,938         200       X        28-5284      200
               COLUMN TOTAL                                9,097,375





                                                                                                                   FILE NO. 28-1235
 PAGE    31 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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      972,295      40,750       X        28-5284    40150                 600
                                                           1,762,443      73,866       X    X   28-5284    73866
                                                             214,549       8,992       X    X   28-1500     8992
                                                             119,300       5,000       X    X   28-4580     5000

BLOCKBUSTER INC                CL A           093679108        4,980       1,000       X    X   28-5284     1000

BLUE DOLPHIN ENERGY CO         COM NEW        095395208        1,133         250       X        28-1500      250

BLUE NILE INC                  COM            09578R103       34,572       1,075       X    X   28-5284     1075

BOB EVANS FARMS INC            COM            096761101        3,001         100       X        28-5284      100

BOEING CO                      COM            097023105   19,317,654     235,840       X        28-5284   174024               61816
                                                          23,292,501     284,367       X    X   28-5284   274314               10053
                                                             233,362       2,849       X        28-1500               2849
                                                             147,438       1,800       X        28-4580     1800
                                                              81,910       1,000       X    X   28-4580     1000

BON-TON STORES INC             COM            09776J101        2,188         100       X        28-5284      100

BORDERS GROUP INC              COM            099709107       11,076         600       X        28-5284      600
                                                              18,460       1,000       X    X   28-5284     1000

BORG WARNER INC                COM            099724106       16,275         250       X        28-5284      250
                                                              40,883         628       X    X   28-5284      328                 300

BOSTON PROPERTIES INC          COM            101121101   13,757,253     152,182       X        28-5284   152082                 100
                                                           8,644,138      95,621       X    X   28-5284    67121               28500
                                                              54,240         600       X        28-4580      600

BOSTON SCIENTIFIC CORP         COM            101137107      896,174      53,217       X        28-5284    40784               12433
                                                           1,249,865      74,220       X    X   28-5284    71729                2491
                                                              59,984       3,562       X    X   28-1500     3562
                                                             387,320      23,000       X       28-11439    23000
                                                               5,961         354       X        28-4580      354
                                                               2,812         167       X    X   28-4580      167

BOWATER INC                    COM            102183100       53,781       2,364       X        28-5284     2364
                                                               4,550         200       X    X   28-4580      200

BOWL AMER INC                  CL A           102565108          669          46       X    X   28-5284                 46
               COLUMN TOTAL                               71,390,767





                                                                                                                   FILE NO. 28-1235
 PAGE    32 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BOYD GAMING CORP               COM            103304101      205,836       5,100       X        28-5284     3700                1400
                                                              89,559       2,219       X    X   28-5284      219                2000
                                                               1,534          38       X    X   28-4580       10                  28

BRADY CORP                     CL A           104674106      103,152       2,800       X    X   28-5284                         2800

BRANDYWINE RLTY TR             SH BEN INT NEW 105368203       32,170       1,000       X        28-5284     1000
                                                              54,689       1,700       X    X   28-5284     1700

BRIGGS & STRATTON CORP         COM            109043109      731,614      23,517       X        28-5284     7317               16200
                                                           1,455,948      46,800       X    X   28-5284    46800

BRIGHT HORIZON FAMILY SOLUTI   COM            109195107        7,538         200       X        28-5284      200
                                                             229,909       6,100       X    X   28-5284     6100

BRILLIANCE CHINA AUTO HLDG L   SPONSORED ADR  10949Q105        8,425         500       X    X   28-5284      500

BRINKER INTL INC               COM            109641100      184,223       5,075       X        28-5284     5075
                                                             308,550       8,500       X    X   28-5284     8500
                                                              81,167       2,236       X    X   28-1500     2236

BRISTOL MYERS SQUIBB CO        COM            110122108   81,452,380   3,149,744       X        28-5284  3078409               71335
                                                          70,746,676   2,735,757       X    X   28-5284  2617235     45922     72600
                                                             615,675      23,808       X        28-1500      185     23623
                                                             103,440       4,000       X       28-11439     4000
                                                           2,128,537      82,310       X        28-4580    79110                3200
                                                           2,819,852     109,043       X    X   28-4580   107532      1511

BRISTOW GROUP INC              COM            110394103        7,200         200       X    X   28-5284      200

BRITESMILE INC                 COM NEW        110415205           15           5       X        28-5284        5

BRITISH AWYS PLC               ADR 2ND INSTAL 110419306       14,290         225       X        28-5284      225

BRITISH AMERN TOB PLC          SPONSORED ADR  110448107       25,355         500       X        28-5284      500

BRITISH SKY BROADCASTING GRO   SPONSORED ADR  111013108       31,358         738       X        28-5284      738

BROADBAND HOLDRS TR            DEPOSITRY RCPT 11130P104       93,005       5,500       X        28-5284     5500

BROADCOM CORP                  CL A           111320107      260,717       8,596       X        28-5284     5296                3300
                                                              28,723         947       X    X   28-5284      947
               COLUMN TOTAL                              161,821,537





                                                                                                                   FILE NO. 28-1235
 PAGE    33 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BROADWING CORP                 COM            11161E101          828          80       X        28-5284       80
                                                              25,875       2,500       X    X   28-5284     2500

BROCADE COMMUNICATIONS SYS I   COM            111621108        6,140       1,000       X        28-5284     1000
                                                                 350          57       X    X   28-5284       57

BROOKFIELD ASSET MGMT INC      CL A LTD VT SH 112585104      219,348       5,400       X    X   28-5284     1650                3750

BROOKFIELD PPTYS CORP          COM            112900105        7,077         220       X        28-5284      220
                                                              17,694         550       X    X   28-5284                          550

BROOKLINE BANCORP INC DEL      COM            11373M107       95,013       6,900       X        28-5284     5200                1700
                                                              23,409       1,700       X    X   28-5284                         1700

BROWN & BROWN INC              COM            115236101       35,064       1,200       X        28-5284     1200
                                                             815,296      27,902       X    X   28-5284    27902

BROWN FORMAN CORP              CL A           115637100   11,970,065     166,714       X        28-5284   153162               13552
                                                           6,620,104      92,202       X    X   28-5284    92202
                                                              14,360         200       X        28-1500                200

BROWN FORMAN CORP              CL B           115637209   10,348,747     144,839       X        28-5284   137200                7639
                                                          20,777,231     290,794       X    X   28-5284   286194                4600
                                                              21,435         300       X        28-1500                300

BRUNSWICK CORP                 COM            117043109       34,913       1,050       X        28-5284     1050
                                                              66,500       2,000       X    X   28-5284     2000

BRYN MAWR BK CORP              COM            117665109      247,638      11,175       X        28-5284    11175
                                                             558,432      25,200       X    X   28-5284    20200                5000

BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101    1,264,384      30,040       X        28-5284    30040
                                                             569,267      13,525       X    X   28-5284    11000                2525
                                                              16,836         400       X        28-4580      400

BUCKEYE TECHNOLOGIES INC       COM            118255108       30,804       4,032       X        28-5284     4032

BUCYRUS INTL INC NEW           CL A           118759109    1,117,565      22,130       X    X   28-5284    22130

BUFFALO WILD WINGS INC         COM            119848109        3,831         100       X    X   28-5284      100
                                                               3,831         100       X        28-1500      100

BUILD A BEAR WORKSHOP          COM            120076104        1,183          55       X    X   28-5284       55
               COLUMN TOTAL                               54,913,220





                                                                                                                   FILE NO. 28-1235
 PAGE    34 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
BURLINGTON NORTHN SANTA FE C   COM            12189T104    3,461,244      43,675       X        28-5284    43475                 200
                                                          12,435,593     156,916       X    X   28-5284   150151                6765
                                                             118,875       1,500       X    X   28-1500     1500
                                                              45,569         575       X        28-4580      575
                                                             538,900       6,800       X    X   28-4580     6800

C & F FINL CORP                COM            12466Q104    5,733,000     147,000       X        28-1500   147000

CBL & ASSOC PPTYS INC          COM            124830100       38,930       1,000       X        28-5284     1000
                                                              31,144         800       X    X   28-5284      800
                                                             293,922       7,550       X        28-1500               7550

CBS CORP NEW                   CL A           124857103       50,792       1,877       X        28-5284     1480                 397
                                                              45,190       1,670       X    X   28-5284     1317                 353
                                                               6,494         240       X        28-4580      240

CBS CORP NEW                   CL B           124857202    2,453,327      90,696       X        28-5284    70296               20400
                                                           1,896,205      70,100       X    X   28-5284    69895                 205
                                                             102,411       3,786       X        28-4580     3786
                                                              38,979       1,441       X    X   28-4580     1441

CBRL GROUP INC                 COM            12489V106       36,532       1,077       X        28-5284     1077
                                                              16,960         500       X    X   28-5284      500
                                                             508,800      15,000       X        28-1500    15000

CB RICHARD ELLIS GROUP INC     CL A           12497T101      100,397       4,032       X        28-5284     4032
                                                           1,317,210      52,900       X    X   28-5284    52900

C COR INC                      COM            125010108       11,580       1,500       X    X   28-5284     1500

C D W CORP                     COM            12512N105   19,755,319     361,488       X        28-5284   349338               12150
                                                           4,990,092      91,310       X    X   28-5284    84810      1900      4600
                                                             206,140       3,772       X        28-1500     3772

CH ENERGY GROUP INC            COM            12541M102       48,000       1,000       X        28-5284     1000
                                                              44,400         925       X    X   28-5284      925
                                                              24,000         500       X    X   28-4580      500

C H ROBINSON WORLDWIDE INC     COM NEW        12541W209       21,320         400       X    X   28-5284      400
               COLUMN TOTAL                               54,371,325





                                                                                                                   FILE NO. 28-1235
 PAGE    35 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CIGNA CORP                     COM            125509109    6,802,411      69,053       X        28-5284    68174                 879
                                                          12,167,660     123,517       X    X   28-5284   123517
                                                              33,986         345       X    X   28-1500      345
                                                             234,355       2,379       X    X   28-4580     2379

CIT GROUP INC                  COM            125581108       48,211         922       X        28-5284      922
                                                              10,458         200       X    X   28-5284      200

CLECO CORP NEW                 COM            12561W105       26,854       1,155       X        28-5284     1155
                                                              75,749       3,258       X    X   28-5284     1882                1376

CMGI INC                       COM            125750109          180         150       X        28-5284      150

CMS ENERGY CORP                COM            125896100        4,011         310       X        28-5284      310

CSK AUTO CORP                  COM            125965103      124,488      10,400       X        28-5284    10400

CNB FINL CORP PA               COM            126128107       52,088       3,750       X    X   28-5284     3750

CNET NETWORKS INC              COM            12613R104       10,374       1,300       X        28-5284     1300
                                                              14,364       1,800       X    X   28-5284     1800

CNOOC LTD                      SPONSORED ADR  126132109        8,440         105       X    X   28-4580       24                  81

CNS INC                        COM            126136100      998,865      40,770       X    X   28-5284    40770
                                                             124,289       5,073       X    X   28-1500     5073

CP HOLDRS                      DEP RCPTS  CP  12616K106      282,250       2,500       X        28-5284     2500

CRA INTL INC                   COM            12618T105       23,247         515       X    X   28-5284      515

CRH PLC                        ADR            12626K203        3,662         110       X        28-5284      110

CSX CORP                       COM            126408103    2,525,626      35,855       X        28-5284    35053                 802
                                                           2,052,551      29,139       X    X   28-5284    26539                2600
                                                             133,484       1,895       X        28-4580     1895

CTS CORP                       COM            126501105        7,862         528       X    X   28-5284      528
                                                               1,415          95       X    X   28-1500       95

CVB FINL CORP                  COM            126600105        9,396         600       X        28-5284      600
               COLUMN TOTAL                               25,776,276





                                                                                                                   FILE NO. 28-1235
 PAGE    36 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CVS CORP                       COM            126650100   34,779,324   1,132,877       X        28-5284  1094742               38135
                                                           6,896,417     224,639       X    X   28-5284   206744      6250     11645
                                                             483,893      15,762       X        28-1500    10462      5300
                                                             163,048       5,311       X        28-4580     5311
                                                               9,210         300       X    X   28-4580      300

CA INC                         COM            12673P105      594,101      28,910       X        28-5284    20310                8600
                                                             299,619      14,580       X    X   28-5284     2780               11800

CABELAS INC                    COM            126804301       15,408         800       X    X   28-5284      800

CABLEVISION SYS CORP           CL A NY CABLVS 12686C109        8,473         395       X        28-5284      395
                                                             102,209       4,765       X    X   28-5284      265                4500

CABOT CORP                     COM            127055101       13,808         400       X    X   28-4580      400

CABOT MICROELECTRONICS CORP    COM            12709P103        2,152          71       X    X   28-5284       71
                                                               3,395         112       X    X   28-4580      112

CABOT OIL & GAS CORP           COM            127097103          490          10       X    X   28-5284       10

CACI INTL INC                  CL A           127190304        7,875         135       X        28-5284      135

CADBURY SCHWEPPES PLC          ADR            127209302       88,316       2,275       X        28-5284     2275
                                                             123,486       3,181       X    X   28-5284     3181
                                                             353,262       9,100       X    X   28-4580     9100

CADENCE DESIGN SYSTEM INC      NOTE         8 127387AB4      342,750       3,000       X        28-5284     3000

CADENCE DESIGN SYSTEM INC      COM            127387108          856          50       X    X   28-5284       50

CALAMOS CONV & HIGH INCOME F   COM SHS        12811P108      413,805      25,879       X        28-5284    25879
                                                             357,744      22,373       X    X   28-5284    21180                1193

CALAMOS ASSET MGMT INC         CL A           12811R104       14,495         500       X        28-5284      500
                                                           1,263,964      43,600       X    X   28-5284    43600

CALAMOS CONV OPP AND INC FD    SH BEN INT     128117108        8,870         461       X        28-5284      461
                                                              49,274       2,561       X    X   28-5284     2561

CALGON CARBON CORP             COM            129603106       30,450       5,000       X        28-5284     5000

CALIFORNIA COASTAL CMNTYS IN   COM NEW        129915203           32           1       X        28-5284        1
               COLUMN TOTAL                               46,426,726





                                                                                                                   FILE NO. 28-1235
 PAGE    37 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CALIFORNIA WTR SVC GROUP       COM            130788102       12,866         360       X        28-5284      360
                                                               5,361         150       X    X   28-5284      150
                                                               8,756         245       X    X   28-1500      245

CALLAWAY GOLF CO               COM            131193104        7,794         600       X    X   28-5284      600

CAMBRIDGE DISPLAY TECH INC     COM            132193103        3,965         500       X        28-5284      500

CAMDEN NATL CORP               COM            133034108       39,900       1,000       X    X   28-5284     1000
                                                           1,603,980      40,200       X        28-1500    40200

CAMDEN PPTY TR                 SH BEN INT     133131102    3,925,216      53,368       X        28-5284    53368
                                                             111,061       1,510       X    X   28-5284     1510

CAMECO CORP                    COM            13321L108       15,988         400       X        28-5284      400
                                                             433,675      10,850       X    X   28-5284    10250                 600
                                                              59,955       1,500       X    X   28-1500     1500
                                                               4,956         124       X    X   28-4580       28                  96

CAMERON INTERNATIONAL CORP     COM            13342B105       12,420         260       X    X   28-5284      260

CAMPBELL SOUP CO               COM            134429109   15,507,638     417,883       X        28-5284   404298       600     12985
                                                          54,329,560   1,464,014       X    X   28-5284   142914   1251150     69950
                                                             381,602      10,283       X        28-4580     9750                 533
                                                             152,671       4,114       X    X   28-4580     4114

CANADIAN NATL RY CO            COM            136375102       93,975       2,148       X        28-5284     2148
                                                             172,813       3,950       X    X   28-5284                         3950

CANADIAN NAT RES LTD           COM            136385101       66,456       1,200       X        28-5284     1200
                                                              11,076         200       X    X   28-5284      200
                                                              83,070       1,500       X    X   28-4580     1500

CANADIAN PAC RY LTD            COM            13645T100      143,192       2,800       X    X   28-5284                         2800

CANETIC RES TR                 COM            137513107       17,335         833       X        28-5284      833
                                                              83,240       4,000       X    X   28-5284     4000

CANO PETE INC                  COM            137801106        1,134         200       X    X   28-5284      200

CANON INC                      ADR            138006309      105,142       1,435       X        28-5284     1435
                                                             526,958       7,192       X    X   28-5284     5217                1975
               COLUMN TOTAL                               77,921,755





                                                                                                                   FILE NO. 28-1235
 PAGE    38 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CAPITAL CROSSING BK            COM            140071101    6,311,179     256,552       X        28-1500   256552

CAPITAL ONE FINL CORP          COM            14040H105    1,996,454      23,364       X        28-5284    22160                1204
                                                           1,674,307      19,594       X    X   28-5284    11769                7825

CAPITALSOURCE INC              COM            14055X102       31,788       1,355       X    X   28-5284      300                1055
                                                              98,532       4,200       X    X   28-1500     4200

CAPITOL FED FINL               COM            14057C106       20,574         600       X        28-5284      600

CAPSTONE TURBINE CORP          COM            14067D102        3,785       1,660       X        28-5284     1660

CAPITAL TITLE GROUP INC        COM            140919101        7,171         973       X    X   28-5284      973

CARDICA INC                    COM            14141R101       23,730       3,000       X        28-5284     3000

CARDINAL FINL CORP             COM            14149F109       29,050       2,500       X    X   28-1500     2500

CARDINAL HEALTH INC            COM            14149Y108   18,031,120     280,291       X        28-5284   273681                6610
                                                           7,515,545     116,828       X    X   28-5284   105186       750     10892
                                                              44,452         691       X        28-1500      691
                                                             355,745       5,530       X    X   28-1500     5530
                                                              60,985         948       X        28-4580      548                 400
                                                             108,525       1,687       X    X   28-4580     1687

CARDIOTECH INTL INC            COM            14160C100        5,261       2,684       X    X   28-5284     2684

CAREER EDUCATION CORP          COM            141665109        1,644          55       X        28-5284       55

CAREMARK RX INC                COM            141705103       77,099       1,546       X        28-5284     1486                  60
                                                             158,387       3,176       X    X   28-5284     3176
                                                              80,540       1,615       X    X   28-1500     1615

CARLISLE COS INC               COM            142339100      745,420       9,400       X        28-5284     9400
                                                             404,430       5,100       X    X   28-5284      900                4200

CARMAX INC                     COM            143130102      127,656       3,600       X        28-5284      400                3200
               COLUMN TOTAL                               37,913,379





                                                                                                                   FILE NO. 28-1235
 PAGE    39 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CARNIVAL CORP                  PAIRED CTF     143658300    8,098,019     194,011       X        28-5284   170111               23900
                                                           2,150,278      51,516       X    X   28-5284    43331                8185
                                                               8,348         200       X    X   28-1500      200
                                                             100,176       2,400       X       28-11439     2400
                                                              29,218         700       X        28-4580      700
                                                              97,087       2,326       X    X   28-4580     2326

CARPENTER TECHNOLOGY CORP      COM            144285103   15,564,434     134,757       X        28-5284   134757
                                                             299,607       2,594       X    X   28-5284     2594

CASCADE CORP                   COM            147195101        3,955         100       X    X   28-5284      100

CASEYS GEN STORES INC          COM            147528103       78,281       3,130       X        28-5284     3130

CASH SYSTEMS INC               COM            14756B102      137,642      18,881       X    X   28-5284                        18881

CATALINA MARKETING CORP        COM            148867104       28,460       1,000       X    X   28-5284     1000

CATALYTICA ENERGY SYS INC      COM            148884109        1,058         745       X        28-5284      745

CATERPILLAR INC DEL            COM            149123101   26,001,489     349,107       X        28-5284   334891       200     14016
                                                          18,879,786     253,488       X    X   28-5284   244388      2230      6870
                                                              88,333       1,186       X        28-1500               1186
                                                             784,274      10,530       X        28-4580    10458                  72
                                                             479,130       6,433       X    X   28-4580     6303                 130

CATHAY GENERAL BANCORP         COM            149150104      247,384       6,800       X    X   28-5284     6800

CAVCO INDS INC DEL             COM            149568107       26,664         600       X    X   28-5284      600

CEDAR FAIR L P                 DEPOSITRY UNIT 150185106    2,818,628     106,203       X        28-5284   106203
                                                             514,876      19,400       X    X   28-5284    19400

CEDAR SHOPPING CTRS INC        COM NEW        150602209       17,664       1,200       X    X   28-5284                         1200

CELADON GROUP INC              COM            150838100      730,626      33,150       X    X   28-5284    33150

CELESTICA INC                  SUB VTG SHS    15101Q108       27,628       2,896       X        28-5284     2896

CELGENE CORP                   COM            151020104      170,748       3,600       X        28-5284     3600
                                                             205,846       4,340       X    X   28-5284     4340
                                                             113,832       2,400       X    X   28-1500     2400
               COLUMN TOTAL                               77,703,471





                                                                                                                   FILE NO. 28-1235
 PAGE    40 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CEMEX S A                      SPON ADR 5 ORD 151290889      119,067       2,090       X        28-5284     1782                 308
                                                              49,849         875       X    X   28-5284      819                  56
                                                              46,374         814       X    X   28-1500      814

CENDANT CORP                   COM            151313103      310,618      19,068       X        28-5284    18068                1000
                                                           1,137,319      69,817       X    X   28-5284    62617                7200
                                                              28,833       1,770       X    X   28-1500     1770
                                                               8,145         500       X    X   28-4580      500

CENTENE CORP DEL               COM            15135B101       14,118         600       X        28-5284      600

CENTER FINL CORP CALIF         COM            15146E102      354,600      15,000       X    X   28-5284    15000

CENTERPOINT ENERGY INC         COM            15189T107       91,275       7,302       X        28-5284     7302
                                                             408,550      32,684       X    X   28-5284    12384               20300

CENTERPLATE INC                UNIT 99/99/999 15200E204       41,540       3,100       X    X   28-5284     3100

CENTEX CORP                    COM            152312104       10,060         200       X        28-5284      200

CENTRAL EUROPE AND RUSSIA FD   COM            153436100       61,278       1,333       X    X   28-5284               1333

CENTRAL FD CDA LTD             CL A           153501101      541,370      62,950       X        28-5284    62950
                                                               8,600       1,000       X    X   28-4580     1000

CENTRAL PAC FINL CORP          COM            154760102      170,319       4,401       X        28-5284     2031                2370
                                                             168,500       4,354       X    X   28-5284     3000                1354

CENTRAL SECS CORP              COM            155123102      135,192       5,333       X        28-5284     5333

CENTURY ALUM CO                COM            156431108       43,470       1,218       X        28-5284     1218

CENTURYTEL INC                 COM            156700106    1,112,122      29,936       X        28-5284    29441                 495
                                                             135,820       3,656       X    X   28-5284     3656

CEPHALON INC                   COM            156708109       21,035         350       X        28-5284      350
                                                                 240           4       X    X   28-5284        4

CERADYNE INC                   COM            156710105        1,732          35       X    X   28-5284       35

CERIDIAN CORP NEW              COM            156779100      215,072       8,800       X        28-5284     8800
                                                             230,274       9,422       X    X   28-5284     9422
               COLUMN TOTAL                                5,465,372





                                                                                                                   FILE NO. 28-1235
 PAGE    41 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHAMPION ENTERPRISES INC       COM            158496109        1,104         100       X        28-5284      100

CHAMPS ENTMT INC DEL           COM            158787101        1,312         200       X    X   28-1500      200

CHAPARRAL STL CO DEL           COM            159423102      504,140       7,000       X    X   28-5284     7000

CHARTERMAC                     SH BEN INT     160908109       91,118       4,870       X        28-5284     4870
                                                              46,775       2,500       X    X   28-5284     2500
                                                              34,670       1,853       X    X   28-1500     1853
                                                              37,420       2,000       X        28-4580     2000

CHARMING SHOPPES INC           COM            161133103      716,831      63,775       X        28-5284    63775
                                                               4,833         430       X    X   28-5284      430

CHARTWELL DIVD & INCOME FD I   COM            16139P104        3,520         400       X        28-5284      400

CHATTEM INC                    COM            162456107       24,752         815       X        28-1500      815

CHECKFREE CORP NEW             COM            162813109    2,421,948      48,869       X        28-5284    48869
                                                             291,859       5,889       X    X   28-5284     5809        80

CHEESECAKE FACTORY INC         COM            163072101       68,776       2,552       X        28-5284     2552
                                                               2,695         100       X    X   28-5284      100

CHEMICAL FINL CORP             COM            163731102      175,063       5,721       X        28-1500     5721
                                                               3,978         130       X    X   28-4580      130

CHEMTURA CORP                  COM            163893100       97,622      10,452       X        28-5284    10452
                                                              15,673       1,678       X    X   28-5284     1678

CHESAPEAKE ENERGY CORP         COM            165167107      390,225      12,900       X        28-5284    12750                 150
                                                             324,794      10,737       X    X   28-5284    10737
                                                              60,500       2,000       X    X   28-1500     2000
                                                          18,117,663     598,931       X       28-11439   598931
                                                              23,988         793       X    X   28-4580      722                  71

CHESAPEAKE UTILS CORP          COM            165303108      212,064       7,050       X    X   28-5284     5600                1450
                                                             224,968       7,479       X    X   28-4580     7479
               COLUMN TOTAL                               23,898,291





                                                                                                                   FILE NO. 28-1235
 PAGE    42 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CHEVRON CORP NEW               COM            166764100  141,615,273   2,281,909       X        28-5284  2208319               73590
                                                         217,941,812   3,511,792       X    X   28-5284  1565070     28638   1918084
                                                             696,189      11,218       X        28-1500      140     11078
                                                           2,893,237      46,620       X        28-4580    46520                 100
                                                           2,949,588      47,528       X    X   28-4580    44408       944      2176

CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY S 167250109       19,658         814       X    X   28-5284      514                 300

CHICAGO MERCANTILE HLDGS INC   CL A           167760107       39,292          80       X        28-5284       80
                                                              44,695          91       X    X   28-5284       91

CHICOS FAS INC                 COM            168615102      238,503       8,840       X        28-5284     8640                 200
                                                             206,397       7,650       X    X   28-5284     7650
                                                              25,631         950       X    X   28-1500      950

CHILE FD INC                   COM            168834109        4,415         300       X    X   28-5284      300

CHINA FD INC                   COM            169373107        2,885         100       X    X   28-5284                100

CHINA LIFE INS CO LTD          SPON ADR REP H 16939P106       18,990         300       X    X   28-5284      300

CHINA MOBILE LIMITED           SPONSORED ADR  16941M109       23,746         830       X        28-5284      830
                                                              28,610       1,000       X    X   28-5284     1000
                                                               2,861         100       X    X   28-4580      100

CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108       18,946         331       X        28-5284      331

CHIPOTLE MEXICAN GRILL INC     CL A           169656105        6,095         100       X        28-5284      100
                                                              97,520       1,600       X    X   28-5284     1600

CHOICE HOTELS INTL INC         COM            169905106       12,120         200       X        28-5284      200
                                                             121,200       2,000       X    X   28-5284     2000
                                                              90,900       1,500       X        28-4580     1500

CHIQUITA BRANDS INTL INC       *W EXP 03/19/2 170032114          990         476       X        28-5284      476

CHIQUITA BRANDS INTL INC       COM            170032809        1,764         128       X        28-5284      128
                                                               2,756         200       X    X   28-5284      200

CHOICEPOINT INC                COM            170388102      104,759       2,508       X        28-5284     2508
                                                              13,158         315       X    X   28-5284      315
               COLUMN TOTAL                              367,221,990





                                                                                                                   FILE NO. 28-1235
 PAGE    43 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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    3,637,510      72,896       X        28-5284    72896
                                                           7,915,138     158,620       X    X   28-5284   151524                7096
                                                              34,431         690       X    X   28-1500      690
                                                             132,734       2,660       X    X   28-4580     2660

CHURCH & DWIGHT INC            COM            171340102       25,494         700       X        28-5284      700
                                                           5,080,590     139,500       X    X   28-5284   139500
                                                           6,464,550     177,500       X       28-11439  177500

CHURCHILL DOWNS INC            COM            171484108    1,243,452      33,203       X        28-5284    33103                 100
                                                           1,661,132      44,356       X    X   28-5284    44356
                                                              93,625       2,500       X        28-1500     2500

CIBA SPECIALTY CHEMICALS HLD   SPONSORED ADR  17162W206       16,032         574       X        28-5284      574

CIENA CORP                     COM            171779101          481         100       X        28-5284      100

CIMAREX ENERGY CO              COM            171798101      173,548       4,036       X        28-5284     4036
                                                             640,700      14,900       X    X   28-5284     6900                8000

CINCINNATI BELL INC NEW        COM            171871106      325,556      79,404       X        28-5284    79404
                                                              12,710       3,100       X    X   28-5284     3100

CINCINNATI BELL INC NEW        PFD CV DEP1/20 171871403       68,800       1,600       X    X   28-5284     1600

CINCINNATI FINL CORP           COM            172062101   73,360,938   1,560,539       X        28-5284  1448352              112187
                                                          12,269,375     260,995       X    X   28-5284   249851      1118     10026
                                                           1,084,662      23,073       X        28-1500      208     22865

CIRCOR INTL INC                COM            17273K109       21,343         700       X    X   28-5284      700

CIRCUIT CITY STORE INC         COM            172737108       51,990       1,910       X        28-5284     1910
                                                              14,971         550       X    X   28-5284      550

CISCO SYS INC                  COM            17275R102  104,202,745   5,335,522       X        28-5284  5214911      2000    118611
                                                          59,656,592   3,054,613       X    X   28-5284  2920512     28740    105361
                                                             419,739      21,492       X        28-1500    11682      9810
                                                             308,574      15,800       X        28-11439   15800
                                                           2,217,807     113,559       X        28-4580   112289                1270
                                                             695,971      35,636       X    X   28-4580    35636

CIRRUS LOGIC INC               COM            172755100        4,884         600       X        28-5284      600
               COLUMN TOTAL                              281,836,074





                                                                                                                   FILE NO. 28-1235
 PAGE    44 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CITADEL BROADCASTING CORP      COM            17285T106        6,372         716       X        28-5284      716

CINTAS CORP                    COM            172908105   13,197,775     331,936       X        28-5284   328611                3325
                                                           5,634,628     141,716       X    X   28-5284   137246                4470
                                                              22,663         570       X        28-1500      570
                                                              84,490       2,125       X    X   28-1500     2125

CITIZENS & NORTHN CORP         COM            172922106      515,270      21,815       X        28-5284    21815
                                                             531,214      22,490       X    X   28-5284    22490

CITIGROUP INC                  COM            172967101  149,757,819   3,103,789       X        28-5284  2968782      1050    133957
                                                         120,894,380   2,505,583       X    X   28-5284  2346735     37561    121287
                                                           1,495,268      30,990       X        28-1500    22700      8290
                                                             847,656      17,568       X       28-11439    17568
                                                           3,416,583      70,810       X        28-4580    70270                 540
                                                           1,829,013      37,907       X    X   28-4580    36089       189      1629

CITI TRENDS INC                COM            17306X102        4,269         100       X    X   28-5284      100

CITIZENS COMMUNICATIONS CO     COM            17453B101      792,996      60,766       X        28-5284    60766
                                                             462,870      35,469       X    X   28-5284    33469                2000
                                                              87,761       6,725       X    X   28-1500     6725
                                                              46,314       3,549       X    X   28-4580     3549

CITRIX SYS INC                 COM            177376100      174,555       4,353       X        28-5284     4353
                                                           1,512,532      37,719       X    X   28-5284    37719
                                                              71,258       1,777       X        28-1500     1677       100

CITY HLDG CO                   COM            177835105      238,199       6,591       X        28-5284     6591
                                                           1,037,218      28,700       X        28-1500    28700

CITY NATL CORP                 COM            178566105    2,408,916      37,009       X        28-5284    37009
                                                             796,376      12,235       X    X   28-5284    11965       200        70
                                                              69,972       1,075       X        28-4580     1075
                                                               3,255          50       X    X   28-4580       50

CLAIRES STORES INC             COM            179584107        9,388         368       X        28-5284      368
                                                              32,857       1,288       X    X   28-5284     1288

CLARCOR INC                    COM            179895107      201,083       6,750       X    X   28-5284     6750

CLARIENT INC                   COM            180489106       72,268      81,200       X        28-5284    81200
               COLUMN TOTAL                              306,255,218





                                                                                                                   FILE NO. 28-1235
 PAGE    45 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CLEAR CHANNEL COMMUNICATIONS   COM            184502102      619,588      20,019       X        28-5284    19719                 300
                                                             558,957      18,060       X    X   28-5284    18060
                                                               6,190         200       X    X   28-1500      200
                                                               6,561         212       X    X   28-4580      212

CLEAR CHANNEL OUTDOOR HLDGS    CL A           18451C109       20,960       1,000       X        28-5284     1000

CLEVELAND CLIFFS INC           COM            185896107       26,166         330       X        28-5284      330
                                                             124,802       1,574       X    X   28-1500     1574

CLINICAL DATA INC NEW          COM            18725U109       48,120       3,000       X    X   28-5284     3000

CLOROX CO DEL                  COM            189054109   10,393,617     170,471       X        28-5284   169471                1000
                                                           3,736,364      61,282       X    X   28-5284    54582                6700
                                                              46,337         760       X        28-1500                760
                                                             121,940       2,000       X       28-11439     2000
                                                              18,291         300       X        28-4580      300
                                                             384,111       6,300       X    X   28-4580     6300

COACH INC                      COM            189754104   18,844,116     630,238       X        28-5284   618968       500     10770
                                                           8,028,479     268,511       X    X   28-5284   260417      3940      4154
                                                              58,544       1,958       X    X   28-1500     1958
                                                             413,278      13,822       X        28-4580    13282                 540
                                                              83,840       2,804       X    X   28-4580     2804

COASTAL FINL CORP DEL          COM            19046E105       41,989       3,220       X        28-5284     3220
                                                              27,293       2,093       X    X   28-5284                         2093

COCA COLA CO                   COM            191216100   72,846,971   1,693,328       X        28-5284  1618848               74480
                                                          67,784,678   1,575,655       X    X   28-5284  1509300     18275     48080
                                                             327,984       7,624       X        28-1500               7624
                                                           2,045,214      47,541       X        28-4580    47541
                                                           2,215,917      51,509       X    X   28-4580    50834       675

COCA COLA ENTERPRISES INC      COM            191219104       37,277       1,830       X    X   28-5284     1830
                                                              50,619       2,485       X    X   28-1500     2485

COCA-COLA FEMSA S A DE C V     SPON ADR REP L 191241108       11,808         400       X        28-5284      400

COEUR D ALENE MINES CORP IDA   COM            192108108        9,620       2,000       X        28-5284     2000
                                                              10,823       2,250       X    X   28-5284     2250

COGNOS INC                     COM            19244C109       62,590       2,200       X    X   28-5284     2200
               COLUMN TOTAL                              189,013,044





                                                                                                                   FILE NO. 28-1235
 PAGE    46 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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      523,465       7,770       X        28-5284     7770
                                                           1,538,529      22,837       X    X   28-5284    22637                 200
                                                             105,501       1,566       X        28-4580     1566

COHEN & STEERS INC             COM            19247A100       23,600       1,000       X        28-5284     1000

COHEN & STEERS QUALITY RLTY    COM            19247L106       27,070       1,286       X    X   28-1500     1286
                                                               3,642         173       X    X   28-4580                          173

COHEN & STEERS REIT & PFD IN   COM            19247X100       27,154       1,002       X        28-5284     1002
                                                             223,575       8,250       X    X   28-5284     7700                 550

COHERENT INC                   COM            192479103       33,740       1,000       X        28-5284     1000

COHEN & STEERS SELECT UTIL F   COM            19248A109       11,617         562       X        28-5284      562
                                                              27,284       1,320       X    X   28-5284     1320

COHU INC                       COM            192576106       10,969         625       X        28-5284      625

COINSTAR INC                   COM            19259P300       12,257         512       X        28-1500      512

COLDWATER CREEK INC            COM            193068103       32,112       1,200       X    X   28-5284     1200

COLEY PHARMACEUTICAL GROUP I   COM            19388P106        1,155         100       X    X   28-5284      100

COLGATE PALMOLIVE CO           COM            194162103   37,641,999     628,414       X        28-5284   569523               58891
                                                          29,866,080     498,599       X    X   28-5284   479414      6925     12260
                                                             118,183       1,973       X    X   28-1500     1973
                                                             186,888       3,120       X        28-4580     3120
                                                             624,398      10,424       X    X   28-4580    10424

COLONIAL BANCGROUP INC         COM            195493309        2,054          80       X        28-5284       80
                                                             853,167      33,223       X    X   28-5284    27223      6000
                                                              11,479         447       X        28-1500                447

COLONIAL HIGH INCOME MUN TR    SH BEN INT     195743109      104,473      15,950       X        28-5284    15950
                                                              22,925       3,500       X    X   28-5284     3500

COLONIAL INTERMARKET INCM TR   SH BEN INT     195762109        7,980       1,000       X        28-5284     1000
                                                               1,596         200       X    X   28-5284      200

COLONIAL MUN INCOME TR         SH BEN INT     195799101       19,448       3,400       X    X   28-5284     3400
               COLUMN TOTAL                               72,062,340





                                                                                                                   FILE NO. 28-1235
 PAGE    47 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COLONIAL PPTYS TR              COM SH BEN INT 195872106       26,627         539       X    X   28-5284      539

COLUMBUS MCKINNON CORP N Y     COM            199333105       32,610       1,500       X    X   28-1500     1500

COMCAST CORP NEW               CL A           20030N101   40,779,929   1,245,569       X        28-5284  1212933               32636
                                                          12,301,466     375,732       X    X   28-5284   359653      5517     10562
                                                             394,157      12,039       X        28-1500    10834      1205
                                                             178,629       5,456       X        28-4580     5456
                                                             235,892       7,205       X    X   28-4580     7205

COMCAST CORP NEW               CL A SPL       20030N200    7,205,306     219,808       X        28-5284   168608               51200
                                                           2,814,524      85,861       X    X   28-5284    55011      3000     27850
                                                               7,900         241       X    X   28-4580      241

COMERICA INC                   COM            200340107       97,741       1,880       X        28-5284     1880
                                                             262,290       5,045       X    X   28-5284     5045
                                                           1,856,043      35,700       X        28-1500    35700

COMM BANCORP INC               COM            200468106    1,025,120      23,840       X        28-5284    23840

COMMERCE BANCORP INC NJ        COM            200519106      659,075      18,477       X        28-5284    18077                 400
                                                             484,827      13,592       X    X   28-5284    13592
                                                           4,783,525     134,105       X       28-11439   134105
                                                              21,402         600       X        28-4580      600

COMMERCE BANCSHARES INC        COM            200525103      113,063       2,259       X        28-5284     1565                 694
                                                              63,513       1,269       X    X   28-5284      691                 578

COMMERCEFIRST BANCORP INC      COM            200845105       35,625       2,500       X    X   28-5284     2500

COMMERCIAL METALS CO           COM            201723103       28,270       1,100       X    X   28-5284     1100

COMMERCIAL VEH GROUP INC       COM            202608105       33,584       1,624       X        28-5284     1624

COMMONWEALTH TEL ENTERPRISES   COM            203349105       43,075       1,299       X        28-5284     1299
                                                              55,245       1,666       X    X   28-5284     1666

COMMSCOPE INC                  COM            203372107       25,450         810       X        28-5284      810

COMMUNITY BANCSHARES INC S C   COM            20343F100       36,236       2,353       X    X   28-5284     2353
               COLUMN TOTAL                               73,601,124





                                                                                                                   FILE NO. 28-1235
 PAGE    48 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMMUNITY BK SYS INC           COM            203607106      155,934       7,731       X        28-5284     7731
                                                              32,272       1,600       X    X   28-5284     1600
                                                           2,331,652     115,600       X        28-1500   115600

COMMUNITY BKS INC MILLERSBUR   COM            203628102       84,604       3,254       X        28-5284     3150                 104
                                                             174,824       6,724       X    X   28-5284     2083      4200       441

COMMUNITY CAP CORP S C         COM            20363C102       28,749       1,323       X        28-5284                         1323

COMMUNITY HEALTH SYS INC NEW   COM            203668108       13,010         354       X        28-5284      354

COMMUNITY SHORES BANK CORP     COM            204046106        1,124          90       X        28-1500       90

COMMUNITY TR BANCORP INC       COM            204149108    1,817,373      52,029       X        28-5284    37643               14386
                                                              18,897         541       X        28-1500      541

COMPANHIA SIDERURGICA NACION   SPONSORED ADR  20440W105        3,220         100       X        28-5284      100
                                                              32,200       1,000       X    X   28-5284     1000

COMPANHIA ENERGETICA DE MINA   SP ADR N-V PFD 204409601       19,388         455       X        28-5284      455

COMPANHIA VALE DO RIO DOCE     SPON ADR PFD   204412100       21,732       1,056       X        28-5284     1056

COMPANHIA VALE DO RIO DOCE     SPONSORED ADR  204412209       43,272       1,800       X        28-5284     1800
                                                              28,848       1,200       X    X   28-5284     1200

COMPANIA ANONIMA NACIONL TEL   SPON ADR D     204421101      106,110       5,400       X    X   28-1500     5400

COMPASS BANCSHARES INC         COM            20449H109    1,886,730      33,934       X        28-5284    33234                 700
                                                             952,094      17,124       X    X   28-5284    14124      3000

COMPASS MINERALS INTL INC      COM            20451N101       24,950       1,000       X        28-5284     1000
                                                             187,000       7,495       X    X   28-5284     1360                6135

COMPUDYNE CORP                 NOTE  6.250% 1 204795AA6      828,750      10,000       X        28-5284    10000

COMPUDYNE CORP                 COM PAR $0.75  204795306       17,787       2,788       X        28-1500     2788

COMPUTER SCIENCES CORP         COM            205363104      155,392       3,200       X        28-5284     3000                 200
                                                             141,310       2,910       X    X   28-5284     1510                1400
                                                              21,658         446       X    X   28-1500      446
                                                             825,520      17,000       X       28-11439    17000
               COLUMN TOTAL                                9,954,400





                                                                                                                   FILE NO. 28-1235
 PAGE    49 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
COMPX INTERNATIONAL INC        CL A           20563P101          895          50       X        28-5284       50

COMPUWARE CORP                 COM            205638109        7,464       1,114       X        28-5284     1114

COMTECH TELECOMMUNICATIONS C   COM NEW        205826209       33,075       1,130       X        28-5284     1130
                                                              28,889         987       X       28-11439      987

COMVERSE TECHNOLOGY INC        COM PAR $0.10  205862402       41,477       2,098       X        28-5284     2098
                                                               9,608         486       X    X   28-1500      486

CONAGRA FOODS INC              COM            205887102      183,491       8,299       X        28-5284     8299
                                                           2,775,159     125,516       X    X   28-5284   103116       500     21900
                                                              22,110       1,000       X    X   28-1500     1000
                                                              30,954       1,400       X        28-4580     1400
                                                              24,321       1,100       X    X   28-4580     1100

CON-WAY INC                    COM            205944101      119,220       2,058       X        28-5284     2058
                                                              17,379         300       X    X   28-5284      300

CONCURRENT COMPUTER CORP NEW   COM            206710204        1,827         700       X        28-5284      700
                                                              57,496      22,029       X        28-1500    22029

CONEXANT SYSTEMS INC           COM            207142100       86,625      34,650       X        28-5284    34650
                                                               3,500       1,400       X    X   28-5284     1000                 400

CONMED CORP                    COM            207410101       20,700       1,000       X    X   28-5284     1000

CONNECTICUT WTR SVC INC        COM            207797101       10,258         438       X    X   28-5284      438

CONOCOPHILLIPS                 COM            20825C104   26,404,593     402,939       X        28-5284   393207                9732
                                                          27,764,995     423,699       X    X   28-5284   375095     19485     29119
                                                           1,801,485      27,491       X        28-1500              27491
                                                             760,148      11,600       X       28-11439    11600
                                                           7,288,247     111,220       X        28-4580   111220
                                                          10,163,310     155,094       X    X   28-4580   150980       354      3760

CONSECO INC                    DBCV  3.500% 9 208464BH9      212,500       2,000       X        28-5284     2000

CONSECO INC                    COM NEW        208464883          785          34       X    X   28-5284       34

CONSOL ENERGY INC              COM            20854P109      333,207       7,132       X        28-5284     7132
                                                             443,840       9,500       X    X   28-5284     9500
               COLUMN TOTAL                               78,647,558





                                                                                                                   FILE NO. 28-1235
 PAGE    50 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CONSOLIDATED EDISON INC        COM            209115104   10,222,978     230,040       X        28-5284   229840                 200
                                                          10,024,331     225,570       X    X   28-5284   219010       500      6060
                                                             342,188       7,700       X        28-4580     7600                 100
                                                             257,530       5,795       X    X   28-4580     5795

CONSOLIDATED GRAPHICS INC      COM            209341106       73,769       1,417       X    X   28-5284                         1417

CONSOLIDATED TOMOKA LD CO      COM            210226106       17,921         325       X        28-5284      325
                                                              33,084         600       X    X   28-5284      600

CONSTELLATION BRANDS INC       CL A           21036P108      819,000      32,760       X        28-5284    31960                 800
                                                             373,850      14,954       X    X   28-5284    14954
                                                              25,000       1,000       X    X   28-1500     1000

CONSTELLATION BRANDS INC       CL B           21036P207       22,525         896       X    X   28-5284      896

CONSTELLATION ENERGY GROUP I   COM            210371100      650,587      11,933       X        28-5284    11783                 150
                                                           1,172,507      21,506       X    X   28-5284    21256                 250
                                                              21,808         400       X        28-4580      400

CONTINENTAL AIRLS INC          CL B           210795308       14,900         500       X    X   28-5284      500

CONVERGYS CORP                 COM            212485106    2,000,876     102,609       X        28-5284   102609
                                                             100,191       5,138       X    X   28-5284     5138
                                                              11,700         600       X    X   28-4580      600

COOPER COS INC                 COM NEW        216648402      140,842       3,180       X        28-5284     1080                2100
                                                              99,431       2,245       X    X   28-5284                         2245

COOPER TIRE & RUBR CO          COM            216831107      296,435      26,610       X        28-5284    26610
                                                               4,456         400       X    X   28-5284      400

COPART INC                     COM            217204106       41,752       1,700       X        28-5284     1700

CORILLIAN CORP                 COM            218725109       50,752      16,974       X        28-1500    16974

CORN PRODS INTL INC            COM            219023108      287,059       9,381       X        28-5284     6861                2520
                                                           1,013,931      33,135       X    X   28-5284    31135                2000
               COLUMN TOTAL                               28,119,403





                                                                                                                   FILE NO. 28-1235
 PAGE    51 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CORNING INC                    COM            219350105   24,391,503   1,008,330       X        28-5284   980462      1000     26868
                                                           9,474,763     391,681       X    X   28-5284   370969      5820     14892
                                                              25,883       1,070       X        28-1500               1070
                                                             169,572       7,010       X        28-4580     7010
                                                             325,501      13,456       X    X   28-4580    13456

CORPORATE EXECUTIVE BRD CO     COM            21988R102      831,660       8,300       X    X   28-5284     8300

CORPORATE HIGH YIELD FD V IN   COM            219931102      103,896       8,440       X        28-5284     8440

CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108       42,080       1,000       X        28-5284     1000
                                                             681,696      16,200       X    X   28-5284    16200
                                                              77,848       1,850       X    X   28-4580     1850

CORRECTIONS CORP AMER NEW      COM NEW        22025Y407        1,641          31       X        28-5284       31

CORUS BANKSHARES INC           COM            220873103      549,780      21,000       X        28-1500    21000

COSTCO WHSL CORP NEW           COM            22160K105   13,438,519     235,227       X        28-5284   198497               36730
                                                           4,673,577      81,806       X    X   28-5284    68056               13750
                                                             466,524       8,166       X    X   28-1500     8166
                                                              11,426         200       X    X   28-4580      200

COUNTRYWIDE FINANCIAL CORP     COM            222372104    3,278,688      86,100       X        28-5284    85700                 400
                                                           1,580,130      41,495       X    X   28-5284    38779                2716
                                                              11,424         300       X        28-1500                300
                                                             131,909       3,464       X    X   28-4580     3464

COVANCE INC                    COM            222816100    4,089,190      66,795       X        28-5284    66545                 250
                                                           1,599,250      26,123       X    X   28-5284    26063        60
                                                              12,244         200       X    X   28-4580      200

COVENTRY HEALTH CARE INC       COM            222862104      167,292       3,045       X        28-5284     3045
                                                              32,140         585       X    X   28-5284      585

COX RADIO INC                  CL A           224051102        9,214         639       X        28-5284      639

CRANE CO                       COM            224399105      163,280       3,925       X        28-5284     3925
                                                             220,480       5,300       X    X   28-5284     5300

CRAY INC                       COM NEW        225223304        2,488         250       X        28-5284      250
               COLUMN TOTAL                               66,563,598





                                                                                                                   FILE NO. 28-1235
 PAGE    52 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CREDIT SUISSE GROUP            SPONSORED ADR  225401108       20,996         375       X        28-5284      375
                                                                 728          13       X    X   28-5284       13

CREE INC                       COM            225447101        5,346         225       X        28-5284      225

CRESCENT REAL ESTATE EQUITIE   COM            225756105      130,198       7,015       X    X   28-5284     7015

CRESCENT REAL ESTATE EQUITIE   PFD CV A 6.75% 225756204       17,412         826       X    X   28-5284      826

CRESUD S A C I F Y A           SPONSORED ADR  226406106       10,140         750       X    X   28-5284      750

CROCS INC                      COM            227046109        7,545         300       X        28-5284      300
                                                              75,450       3,000       X    X   28-5284     3000

CROSS TIMBERS RTY TR           TR UNIT        22757R109       71,984       1,600       X        28-5284     1600

CROWN CASTLE INTL CORP         COM            228227104      690,800      20,000       X    X   28-5284    20000

CROWN HOLDINGS INC             COM            228368106       93,342       5,995       X        28-5284     5995
                                                              84,078       5,400       X    X   28-5284     5400

CRUCELL N V                    SPONSORED ADR  228769105       10,390         500       X    X   28-5284      500

CRYSTALLEX INTL CORP           COM            22942F101        2,880       1,000       X        28-5284     1000

CUBIC CORP                     COM            229669106        7,844         400       X        28-5284      400

CUMMINS INC                    COM            231021106   29,364,817     240,203       X        28-5284   234823       300      5080
                                                           8,799,188      71,977       X    X   28-5284    67433      2230      2314
                                                             945,359       7,733       X        28-4580     7460                 273
                                                             192,544       1,575       X    X   28-4580     1575

CUMULUS MEDIA INC              CL A           231082108        2,401         225       X        28-5284      225

CURAGEN CORP                   COM            23126R101        9,842       2,812       X        28-5284     2812

CURTISS WRIGHT CORP            COM            231561101       13,340         432       X        28-5284      432
                                                               6,454         209       X    X   28-5284      209

CYBERSOURCE CORP               COM            23251J106      156,593      13,384       X    X   28-5284                        13384

CYBERONICS INC                 COM            23251P102       42,640       2,000       X        28-5284                         2000
               COLUMN TOTAL                               40,762,311





                                                                                                                   FILE NO. 28-1235
 PAGE    53 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
CYPRESS SEMICONDUCTOR CORP     COM            232806109      702,282      48,300       X    X   28-5284    48300

CYTEC INDS INC                 COM            232820100       97,661       1,820       X        28-5284     1820
                                                             111,720       2,082       X    X   28-5284     1302                 780
                                                              73,568       1,371       X    X   28-4580     1371

CYTOGEN CORP                   COM NEW        232824300          500         200       X    X   28-5284      200

CYTYC CORP                     COM            232946103      119,192       4,700       X        28-5284     4700
                                                              15,216         600       X    X   28-1500      600

DNP SELECT INCOME FD           COM            23325P104      389,120      38,149       X        28-5284    38149
                                                             406,480      39,851       X    X   28-5284    39851
                                                             176,266      17,281       X        28-1500              17281

DPL INC                        COM            233293109      394,925      14,736       X        28-5284    14736
                                                             284,053      10,599       X    X   28-5284    10599
                                                             757,609      28,269       X    X   28-1500    28269

DRS TECHNOLOGIES INC           COM            23330X100       22,571         463       X        28-5284      463
                                                               7,313         150       X    X   28-5284      150
                                                              98,865       2,028       X    X   28-1500     2028

D R HORTON INC                 COM            23331A109      154,616       6,491       X        28-5284     6125                 366
                                                              28,584       1,200       X    X   28-5284     1000                 200

DST SYS INC DEL                DBCV  3.625% 8 233326AD9      384,750       3,000       X        28-5284     3000

DST SYS INC DEL                COM            233326107       29,453         495       X        28-5284      495
                                                               7,497         126       X    X   28-5284      126

DTE ENERGY CO                  COM            233331107      109,917       2,698       X        28-5284     2007                 691
                                                              75,043       1,842       X    X   28-5284     1842
                                                              17,233         423       X    X   28-4580      423

DTF TAX-FREE INCOME INC        COM            23334J107       49,075       3,456       X        28-5284     2756                 700
                                                              12,780         900       X    X   28-5284      900

DWS HIGH INCOME TR             SHS            23337C109        3,545         500       X    X   28-5284      500

DWS MULTI MKT INCOME TR        SHS            23338L108       30,839       3,150       X    X   28-5284     3150
               COLUMN TOTAL                                4,560,673





                                                                                                                   FILE NO. 28-1235
 PAGE    54 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DWS MUN INCOME TR              COM            23338M106        8,999         834       X        28-5284      834
                                                              21,580       2,000       X    X   28-5284     2000

DWS STRATEGIC MUN INCOME TR    COM            23338T101        6,140         500       X        28-5284      500

DAKTRONICS INC                 COM            234264109        4,331         150       X        28-5284      150
                                                             154,570       5,354       X    X   28-1500     5354

DANAHER CORP DEL               COM            235851102    3,792,500      58,963       X        28-5284    58353                 610
                                                           5,557,184      86,399       X    X   28-5284    83711                2688
                                                              19,296         300       X        28-4580      300
                                                              12,864         200       X    X   28-4580      200

DARDEN RESTAURANTS INC         COM            237194105    1,225,340      31,100       X        28-5284    31100
                                                           1,999,077      50,738       X    X   28-5284    49481                1257
                                                              47,280       1,200       X        28-1500               1200

DATATRAK INTL INC              COM            238134100        2,876         400       X    X   28-5284      400

DAVITA INC                     COM            23918K108       40,257         810       X        28-5284      810
                                                              15,407         310       X    X   28-5284      310

DAWSON GEOPHYSICAL CO          COM            239359102        6,154         200       X        28-5284      200
                                                                 923          30       X    X   28-5284       30

DAYSTAR TECHNOLOGIES INC       COM            23962Q100       10,120       1,000       X    X   28-5284     1000

DB COMMODITY INDEX TRACKING    UNIT BEN INT   240225102       98,771       3,904       X    X   28-5284     3904

DEAN FOODS CO NEW              COM            242370104      703,189      18,908       X        28-5284    18908
                                                             336,718       9,054       X    X   28-5284     9054

DEARBORN BANCORP INC           COM            24242R108      665,600      29,982       X        28-1500    29982

DEBT STRATEGIES FD INC NEW     COM            24276Q109      169,558      24,681       X        28-5284    24681
                                                             165,636      24,110       X    X   28-5284    24110

DECKERS OUTDOOR CORP           COM            243537107        7,712         200       X        28-5284      200

DECODE GENETICS INC            COM            243586104        9,285       1,500       X        28-5284     1500
                                                                 619         100       X    X   28-1500      100

DECORATOR INDS INC             COM PAR $0.20  243631207        1,332         150       X    X   28-5284      150
               COLUMN TOTAL                               15,083,318





                                                                                                                   FILE NO. 28-1235
 PAGE    55 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DEERE & CO                     COM            244199105    1,661,534      19,901       X        28-5284    19801                 100
                                                           1,746,611      20,920       X    X   28-5284    20245                 675
                                                              20,873         250       X    X   28-1500      250

DEERFIELD TRIARC CAP CORP      COM            244572301       30,179       2,325       X    X   28-5284     2325

DEL MONTE FOODS CO             COM            24522P103      672,475      59,882       X        28-5284    58772                1110
                                                             788,357      70,201       X    X   28-5284    67146                3055
                                                               7,389         658       X        28-4580      658
                                                              80,339       7,154       X    X   28-4580     7154

DELAWARE INV GLBL DIV & INC    COM            245916101       12,400       1,000       X        28-5284     1000
                                                               8,680         700       X    X   28-5284      700

DELL INC                       COM            24702R101   26,014,311   1,063,545       X        28-5284   969495               94050
                                                          15,331,430     626,796       X    X   28-5284   589614     20200     16982
                                                             138,688       5,670       X        28-1500               5670
                                                           1,407,918      57,560       X       28-11439    57560
                                                             165,863       6,781       X        28-4580     6781
                                                             312,770      12,787       X    X   28-4580    12387       400

DELPHI FINL GROUP INC          CL A           247131105       10,908         300       X    X   28-5284                          300

DELTA NAT GAS INC              COM            247748106       64,339       2,625       X        28-5284     2625
                                                               8,579         350       X    X   28-5284      350
                                                             529,220      21,592       X        28-1500    19274      2318

DELTA PETE CORP                COM NEW        247907207   18,197,302   1,062,306       X        28-5284  1062306

DENBURY RES INC                COM NEW        247916208       98,019       3,095       X        28-5284     3095
                                                              44,971       1,420       X    X   28-5284     1420

DELUXE CORP                    COM            248019101        1,101          63       X        28-5284       63
                                                               6,205         355       X    X   28-5284      355

DENDREON CORP                  COM            24823Q107       44,325       9,158       X        28-1500     9158

DENTSPLY INTL INC NEW          COM            249030107       21,210         350       X        28-5284      350
                                                             588,426       9,710       X    X   28-5284     9710

DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105    1,478,150      92,154       X    X   28-5284    92154
                                                             106,666       6,650       X       28-11439     6650
               COLUMN TOTAL                               69,599,238





                                                                                                                   FILE NO. 28-1235
 PAGE    56 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DEVELOPERS DIVERSIFIED RLTY    COM            251591103    1,073,447      20,572       X        28-5284    20012                 560
                                                             484,648       9,288       X    X   28-5284     9288

DEVON ENERGY CORP NEW          COM            25179M103      524,359       8,680       X        28-5284     7880                 800
                                                             396,048       6,556       X    X   28-5284     6322                 234
                                                              28,030         464       X        28-1500                464

DEXCOM INC                     COM            252131107        8,148         600       X        28-5284      600

DIAGEO P L C                   SPON ADR NEW   25243Q205      840,119      12,437       X        28-5284     6037                6400
                                                           1,553,988      23,005       X    X   28-5284    16705                6300
                                                             487,711       7,220       X    X   28-1500     7220
                                                              20,265         300       X        28-4580      300
                                                             135,100       2,000       X    X   28-4580     2000

DIAMOND OFFSHORE DRILLING IN   DBCV  1.500% 4 25271CAE2      518,625       3,000       X        28-5284     3000

DIAMOND OFFSHORE DRILLING IN   COM            25271C102   12,995,469     154,837       X        28-5284   149372       300      5165
                                                           3,569,543      42,530       X    X   28-5284    40440      1510       580
                                                              64,626         770       X        28-4580      770
                                                               1,679          20       X    X   28-4580       20

DIAMONDS TR                    UNIT SER 1     252787106    4,567,739      40,860       X        28-5284    40860
                                                           6,743,285      60,321       X    X   28-5284    60302                  19

DICKS SPORTING GOODS INC       COM            253393102       11,880         300       X        28-5284                          300
                                                             114,840       2,900       X    X   28-5284     2400                 500

DIEBOLD INC                    COM            253651103       34,243         843       X        28-5284      843
                                                             144,201       3,550       X    X   28-5284     3550
                                                             187,664       4,620       X    X   28-1500     4620
                                                               6,093         150       X    X   28-4580      150

DIGENE CORP                    COM            253752109        7,748         200       X    X   28-5284      200

DIGI INTL INC                  COM            253798102      109,638       8,750       X    X   28-5284                         8750

DIGITAL INSIGHT CORP           COM            25385P106        6,001         175       X        28-5284      175

DIGITAL RIV INC                COM            25388B104       20,195         500       X        28-5284      500
                                                              19,872         492       X        28-1500      492

DIGITAS INC                    COM            25388K104        3,718         320       X        28-5284      320
               COLUMN TOTAL                               34,678,922





                                                                                                                   FILE NO. 28-1235
 PAGE    57 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DIME CMNTY BANCSHARES          COM            253922108      115,345       8,500       X    X   28-5284               8500

DIME BANCORP INC NEW           *W EXP 99/99/9 25429Q110          462       2,100       X        28-5284     2000                 100
                                                                 440       2,000       X    X   28-5284               2000

DIODES INC                     COM            254543101    1,717,688      41,450       X    X   28-5284    41450

DIONEX CORP                    COM            254546104       47,226         864       X    X   28-5284      864

DIRECT GEN CORP                COM            25456W204       16,920       1,000       X        28-5284     1000

DIRECTV GROUP INC              COM            25459L106      204,551      12,397       X        28-5284    11876                 521
                                                             202,769      12,289       X    X   28-5284    11634       493       162
                                                               4,950         300       X    X   28-1500      300
                                                               2,706         164       X        28-4580      164
                                                               5,577         338       X    X   28-4580      338

DISCOVERY HOLDING CO           CL A COM       25468Y107      451,701      30,875       X        28-5284     9525               21350
                                                             261,336      17,863       X    X   28-5284     1143               16720
                                                              36,721       2,510       X    X   28-1500     2510

DISNEY WALT CO                 NOTE  2.125% 4 254687AU0      440,500       4,000       X        28-5284     4000

DISNEY WALT CO                 COM DISNEY     254687106   82,345,290   2,744,843       X        28-5284  2656666       800     87377
                                                          44,556,450   1,485,215       X    X   28-5284  1432044     17985     35186
                                                             861,360      28,712       X        28-1500     8690     20022
                                                             763,890      25,463       X        28-4580    23543                1920
                                                             562,860      18,762       X    X   28-4580    18762

DISTRIBUTED ENERGY SYS CORP    COM            25475V104        4,653         900       X        28-5284      900
                                                              52,134      10,084       X        28-1500    10084

DIVERSIFIED INCOME STRAT PTF   COM            255251100       36,300       2,000       X        28-4580     2000

DOCUCORP INTL INC              COM            255911109        1,001         134       X    X   28-5284      134

DOLLAR GEN CORP                COM            256669102      405,406      28,999       X        28-5284    28999
                                                             125,820       9,000       X    X   28-5284     9000
                                                             353,708      25,301       X        28-1500              25301

DOLLAR THRIFTY AUTOMOTIVE GP   COM            256743105       27,763         616       X        28-5284      616
               COLUMN TOTAL                              133,605,527





                                                                                                                   FILE NO. 28-1235
 PAGE    58 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 STORES INC         COM            256747106       21,836         824       X        28-5284      700                 124
                                                                 424          16       X    X   28-5284       16

DOMINION RES BLACK WARRIOR T   UNITS BEN INT  25746Q108       15,340         400       X        28-5284      400
                                                              57,525       1,500       X    X   28-5284     1500

DOMINION RES INC VA NEW        COM            25746U109   18,217,573     243,583       X        28-5284   238486                5097
                                                          22,403,345     299,550       X    X   28-5284   282333      4736     12481
                                                             111,661       1,493       X    X   28-1500     1493
                                                             372,080       4,975       X        28-4580     4975
                                                             887,683      11,869       X    X   28-4580    10119                1750

DONALDSON INC                  COM            257651109    1,890,827      55,826       X        28-5284    55226                 600
                                                             423,375      12,500       X    X   28-5284    12500
                                                             225,574       6,660       X    X   28-1500     6660

DONEGAL GROUP INC              CL A           257701201       85,171       4,388       X        28-5284     4388

DONEGAL GROUP INC              CL B           257701300       10,928         616       X        28-5284      616

DONNELLEY R R & SONS CO        COM            257867101      577,976      18,090       X        28-5284    18090
                                                             725,840      22,718       X    X   28-5284    22518                 200
                                                              52,973       1,658       X    X   28-1500     1658

DORAL FINL CORP                COM            25811P100          962         150       X    X   28-5284      150

DORCHESTER MINERALS LP         COM UNIT       25820R105       25,110       1,000       X    X   28-5284     1000
                                                              25,110       1,000       X        28-4580     1000

DOUBLE EAGLE PETE CO           COM PAR $0.10  258570209       13,297         801       X    X   28-5284      801

DOVER CORP                     COM            260003108   12,001,159     242,791       X        28-5284   225116               17675
                                                           7,345,743     148,609       X    X   28-5284   143361                5248
                                                              45,377         918       X        28-1500      918
                                                             391,683       7,924       X    X   28-1500     7924
                                                             158,176       3,200       X        28-4580     3200

DOVER MOTORSPORTS INC          COM            260174107        1,174         200       X    X   28-5284      200
               COLUMN TOTAL                               66,087,922





                                                                                                                   FILE NO. 28-1235
 PAGE    59 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DOW CHEM CO                    COM            260543103   29,360,981     752,267       X        28-5284   724468               27799
                                                          24,029,093     615,657       X    X   28-5284   560837      6250     48570
                                                             281,016       7,200       X        28-1500               7200
                                                             237,302       6,080       X        28-4580     6080
                                                             373,400       9,567       X    X   28-4580     9567

DOW JONES & CO INC             COM            260561105      103,350       2,952       X        28-5284     2952
                                                             217,062       6,200       X    X   28-5284     5500                 700
                                                              28,883         825       X    X   28-4580      825

DOW 30 COVERED CALL FD INC     COM            260582101        8,011         425       X        28-5284      425
                                                              23,563       1,250       X    X   28-5284     1250

DRDGOLD LTD                    SPONSORED ADR  26152H103          685         500       X    X   28-1500      500

DREAMWORKS ANIMATION SKG INC   CL A           26153C103        2,290         100       X        28-5284      100

DREMAN/CLAYMORE DIVID & INC    COM            26153R100       10,339         536       X    X   28-5284      536

DRESS BARN INC                 COM            261570105      744,023      29,350       X    X   28-5284    28850                 500

DREW INDS INC                  COM NEW        26168L205        6,480         200       X    X   28-5284      200

DREYFUS STRATEGIC MUNS INC     COM            261932107       25,800       3,000       X        28-5284     3000
                                                              43,000       5,000       X    X   28-5284     5000

DREYFUS STRATEGIC MUN BD FD    COM            26202F107       62,020       7,000       X        28-5284     7000
                                                              95,272      10,753       X    X   28-5284    10753

DU PONT E I DE NEMOURS & CO    COM            263534109   52,708,947   1,267,042       X        28-5284  1250278               16764
                                                          79,213,846   1,904,179       X    X   28-5284  1719315     19262    165602
                                                             195,520       4,700       X    X   28-1500     4700
                                                          12,879,152     309,595       X        28-4580   308695                 900
                                                          25,626,931     616,032       X    X   28-4580   611006       472      4554

DUFF & PHELPS UTIL CORP BD T   COM            26432K108       22,560       2,000       X    X   28-5284     2000

DUKE ENERGY CORP NEW           COM            26441C105   10,606,183     361,123       X        28-5284   358299                2824
                                                          11,812,203     402,186       X    X   28-5284   372218               29968
                                                             966,684      32,914       X        28-1500              32914
                                                             219,453       7,472       X        28-4580     7472
                                                             100,739       3,430       X    X   28-4580     3430
               COLUMN TOTAL                              250,004,788





                                                                                                                   FILE NO. 28-1235
 PAGE    60 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
DUKE REALTY CORP               COM NEW        264411505    4,889,119     139,093       X        28-5284   137943       300       850
                                                           8,742,086     248,708       X    X   28-5284   201833       500     46375
                                                              35,150       1,000       X    X   28-1500     1000
                                                              45,695       1,300       X        28-4580     1300
                                                             154,660       4,400       X    X   28-4580     4400

DUN & BRADSTREET CORP DEL NE   COM            26483E100      673,248       9,662       X        28-5284     9062                 600
                                                             425,187       6,102       X    X   28-5284     4282                1820
                                                           2,090,400      30,000       X        28-4580    30000
                                                             134,691       1,933       X    X   28-4580     1933

DUQUESNE LT HLDGS INC          COM            266233105      453,530      27,587       X        28-5284    26987                 600
                                                             365,658      22,242       X    X   28-5284    21242                1000

DYCOM INDS INC                 COM            267475101       18,309         860       X        28-5284      860
                                                              10,645         500       X    X   28-5284      500

DYNAVAX TECHNOLOGIES CORP      COM            268158102          830         200       X    X   28-5284      200

DYNEGY INC NEW                 CL A           26816Q101       41,572       7,600       X        28-5284     7600

EFJ INC                        COM            26843B101       34,822       5,794       X    X   28-5284                         5794

E M C CORP MASS                COM            268648102   27,120,857   2,472,275       X        28-5284  2406305      3200     62770
                                                           9,064,752     826,322       X    X   28-5284   777806     26040     22476
                                                             215,659      19,659       X        28-1500     3389     16270
                                                             967,554      88,200       X       28-11439    88200
                                                             670,651      61,135       X        28-4580    60383                 752
                                                             140,635      12,820       X    X   28-4580    12820

EMS TECHNOLOGIES INC           COM            26873N108       35,940       2,000       X        28-5284     2000

ENSCO INTL INC                 COM            26874Q100    2,045,865      44,456       X        28-5284    43646                 810
                                                           1,048,704      22,788       X    X   28-5284    22438                 350
                                                               1,104          24       X    X   28-1500       24

ENI S P A                      SPONSORED ADR  26874R108      112,095       1,908       X        28-5284     1908
                                                                 881          15       X    X   28-5284       15

EOG RES INC                    COM            26875P101   31,882,809     459,804       X        28-5284   456752                3052
                                                          16,143,600     232,818       X    X   28-5284   226113       450      6255
                                                             722,037      10,413       X        28-4580    10413
                                                             135,213       1,950       X    X   28-4580     1950
               COLUMN TOTAL                              108,423,958





                                                                                                                   FILE NO. 28-1235
 PAGE    61 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
E ON AG                        SPONSORED ADR  268780103       21,246         554       X        28-5284      554
                                                                 844          22       X    X   28-5284       22

ESB FINL CORP                  COM            26884F102      473,810      40,987       X        28-5284    40987

E TRADE FINANCIAL CORP         COM            269246104       63,668       2,790       X        28-5284     2790
                                                              52,828       2,315       X    X   28-5284     2315
                                                             228,200      10,000       X    X   28-1500    10000

EV3 INC                        COM            26928A200       29,620       2,000       X    X   28-5284     2000

EAGLE MATERIALS INC            COM            26969P108       38,000         800       X        28-5284      800
                                                              71,203       1,499       X    X   28-5284      275                1224

EAST WEST BANCORP INC          COM            27579R104        4,739         125       X    X   28-5284      125

EASTGROUP PPTY INC             COM            277276101       45,513         975       X        28-5284      975

EASTMAN CHEM CO                COM            277432100       92,016       1,704       X        28-5284     1095                 609
                                                             364,716       6,754       X    X   28-5284     6754
                                                              61,452       1,138       X        28-1500               1138
                                                              16,200         300       X        28-4580      300

EASTMAN KODAK CO               COM            277461109      376,556      15,835       X        28-5284    12635                3200
                                                             494,053      20,776       X    X   28-5284    16076       100      4600
                                                              27,942       1,175       X    X   28-1500     1175
                                                             140,302       5,900       X       28-11439     5900
                                                              76,976       3,237       X    X   28-4580     3237

EATON CORP                     COM            278058102    1,052,735      13,962       X        28-5284    13962
                                                           2,289,747      30,368       X    X   28-5284    30368
                                                           1,126,627      14,942       X    X   28-1500    14942

EATON VANCE MI MUNI INCOME T   SH BEN INT     27826D106       13,850       1,000       X    X   28-5284     1000

EATON VANCE PA MUNI INCOME T   SH BEN INT     27826T101       22,048       1,600       X        28-5284     1600

EATON VANCE NJ MUNI INCOME T   SH BEN INT     27826V106       24,763       1,750       X        28-5284     1750

EATON VANCE CORP               COM NON VTG    278265103       27,456       1,100       X    X   28-5284     1100

EATON VANCE INS MUN BD FD      COM            27827X101       78,196       5,650       X        28-5284     5650
                                                             134,193       9,696       X    X   28-5284     2666                7030
               COLUMN TOTAL                                7,449,499





                                                                                                                   FILE NO. 28-1235
 PAGE    62 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 ENHANCED EQ INC    COM            278274105       16,044         840       X        28-5284      840
                                                              47,998       2,513       X    X   28-5284     2513

EATON VANCE FLTING RATE INC    COM            278279104       62,188       3,432       X    X   28-5284     3432
                                                               9,060         500       X    X   28-1500      500

EATON VANCE TAX ADVT DIV INC   COM            27828G107      119,400       5,000       X        28-5284     5000
                                                              28,131       1,178       X    X   28-5284     1178

EATON VANCE LTD DUR INCOME F   COM            27828H105      130,333       7,525       X        28-5284     7525
                                                              17,320       1,000       X    X   28-5284     1000

EATON VANCE INS MI MUN BD FD   COM            27828M104       13,610       1,000       X    X   28-5284     1000

EATON VANCE INS NJ MUN BD FD   COM            27828R103      211,806      14,350       X        28-5284    14350
                                                              16,826       1,140       X    X   28-5284     1140

EATON VANCE TX ADV GLBL DIV    COM            27828S101       34,632       1,585       X        28-5284     1585
                                                             284,050      13,000       X    X   28-5284    13000

EATON VANCE INS PA MUN BD FD   COM            27828W102       13,640       1,000       X        28-5284     1000
                                                              85,073       6,237       X    X   28-5284     6237

EATON VANCE TX MNG BY WRT OP   COM            27828Y108        9,100         500       X        28-5284      500
                                                              18,200       1,000       X    X   28-5284     1000

EATON VANCE TXMGD GL BUYWR O   COM            27829C105       10,860         600       X        28-5284      600
                                                             923,100      51,000       X    X   28-5284    51000
                                                              60,273       3,330       X    X   28-1500     3330

EBAY INC                       COM            278642103    1,396,518      47,679       X        28-5284    47479                 200
                                                             377,460      12,887       X    X   28-5284    12887
                                                              27,562         941       X        28-1500      941
                                                             478,423      16,334       X       28-11439    16334
                                                               2,783          95       X    X   28-4580       21                  74

ECHOSTAR COMMUNICATIONS NEW    CL A           278762109       22,799         740       X        28-5284      740
                                                               2,157          70       X    X   28-5284       70
                                                               1,849          60       X    X   28-4580       60

ECLIPSYS CORP                  COM            278856109      180,583       9,944       X        28-5284     9944
               COLUMN TOTAL                                4,601,778





                                                                                                                   FILE NO. 28-1235
 PAGE    63 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ECOLAB INC                     COM            278865100    5,886,170     145,051       X        28-5284   115621               29430
                                                           2,475,908      61,013       X    X   28-5284    59713                1300
                                                              12,458         307       X    X   28-1500      307
                                                              15,177         374       X        28-4580      374
                                                              40,580       1,000       X    X   28-4580     1000

ECOLLEGE COM                   COM            27887E100      916,842      43,370       X    X   28-5284    43370

EDISON INTL                    COM            281020107    1,255,800      32,200       X        28-5284    31400                 800
                                                             336,687       8,633       X    X   28-5284     8334                 299

EDUCATION RLTY TR INC          COM            28140H104        3,330         200       X    X   28-5284      200

EDWARDS LIFESCIENCES CORP      COM            28176E108       60,467       1,331       X        28-5284      934                 397
                                                              46,339       1,020       X    X   28-5284      760                 260
                                                               4,543         100       X    X   28-1500      100

EDWARDS AG INC                 COM            281760108       55,320       1,000       X    X   28-5284     1000

EL PASO CORP                   COM            28336L109       43,470       2,898       X        28-5284     2898
                                                             203,475      13,565       X    X   28-5284    13565
                                                              15,000       1,000       X    X   28-1500     1000

ELAN PLC                       ADR            284131208       52,355       3,135       X        28-5284     3135
                                                             297,828      17,834       X    X   28-5284    17834

ELECTRONIC ARTS INC            COM            285512109    3,339,947      77,601       X        28-5284    71901                5700
                                                           2,297,733      53,386       X    X   28-5284    50976       300      2110
                                                              13,515         314       X        28-1500      314
                                                              51,648       1,200       X        28-4580     1200
                                                              25,824         600       X    X   28-4580      600

ELECTRONIC DATA SYS NEW        NOTE  3.875% 7 285661AF1      297,750       3,000       X        28-5284     3000

ELECTRONIC DATA SYS NEW        COM            285661104      214,952       8,934       X        28-5284     8934
                                                             955,302      39,705       X    X   28-5284    35955                3750
                                                               2,983         124       X        28-4580      124
                                                               9,985         415       X    X   28-4580      415

EMBARQ CORP                    COM            29078E105      190,890       4,657       X        28-5284     4617                  40
                                                             670,637      16,361       X    X   28-5284    15977        94       290
                                                               2,582          63       X        28-4580       63
                                                               2,377          58       X    X   28-4580       58
               COLUMN TOTAL                               19,797,874





                                                                                                                   FILE NO. 28-1235
 PAGE    64 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EMBRAER-EMPRESA BRASILEIRA D   SP ADR COM SHS 29081M102       78,775       2,160       X    X   28-5284                         2160

EMDEON CORP                    COM            290849108       12,410       1,000       X        28-5284     1000
                                                                 410          33       X    X   28-5284       33

EMERSON ELEC CO                COM            291011104   54,227,081     647,024       X        28-5284   638573                8451
                                                          55,334,631     660,239       X    X   28-5284   613353     27173     19713
                                                             292,832       3,494       X        28-1500               3494
                                                             427,180       5,097       X        28-4580     5097
                                                           2,120,728      25,304       X    X   28-4580    23795       709       800

EMPIRE DIST ELEC CO            COM            291641108        6,165         300       X    X   28-5284      300

EMULEX CORP                    COM NEW        292475209        1,302          80       X        28-5284       80
                                                              12,203         750       X    X   28-5284      750

ENBRIDGE INC                   COM            29250N105       51,969       1,700       X    X   28-5284     1300                 400

ENBRIDGE ENERGY PARTNERS L P   COM            29250R106      241,267       5,540       X        28-5284     5540
                                                           1,373,349      31,535       X    X   28-5284    27650                3885
                                                              21,775         500       X        28-4580      500

ENCANA CORP                    COM            292505104      808,392      15,357       X        28-5284    15357
                                                             536,928      10,200       X    X   28-5284     2900                7300
                                                               8,264         157       X    X   28-4580       48                 109

ENCORE ACQUISITION CO          COM            29255W100       41,855       1,560       X        28-5284     1560
                                                             215,982       8,050       X    X   28-5284     8050

ENCORE WIRE CORP               COM            292562105       10,782         300       X    X   28-5284      300

ENDESA S A                     SPONSORED ADR  29258N107       66,649       2,075       X        28-5284       75                2000
                                                                 450          14       X    X   28-5284       14

ENDO PHARMACEUTICALS HLDGS I   COM            29264F205       26,384         800       X        28-5284      800

ENERGEN CORP                   COM            29265N108        4,801         125       X        28-5284      125
                                                              23,661         616       X    X   28-5284      616
                                                               9,180         239       X    X   28-1500      239

ENEL SOCIETA PER AZIONI        ADR            29265W108        6,453         150       X        28-5284      150
               COLUMN TOTAL                              115,961,858





                                                                                                                   FILE NO. 28-1235
 PAGE    65 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENERGY CONVERSION DEVICES IN   COM            292659109       10,929         300       X        28-5284      300
                                                             168,598       4,628       X    X   28-1500     4628

ENERGY EAST CORP               COM            29266M109      266,508      11,137       X        28-5284    11137
                                                             205,367       8,582       X    X   28-5284     8582

ENERGIZER HLDGS INC            COM            29266R108       28,934         494       X        28-5284      494
                                                             481,270       8,217       X    X   28-5284     8217

ENERGY PARTNERS LTD            COM            29270U105        2,843         150       X        28-5284                          150

ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109       84,835       1,900       X        28-5284     1900
                                                              71,440       1,600       X    X   28-5284     1600

ENERPLUS RES FD                UNIT TR G NEW  29274D604      382,432       6,800       X        28-5284     6800
                                                           1,264,838      22,490       X    X   28-5284    22490
                                                              11,698         208       X    X   28-4580       42                 166

ENERGYSOUTH INC                COM            292970100       25,765         825       X    X   28-5284                          825

ENHANCED GOVT FD INC           COM            29332K103       10,703         603       X    X   28-1500      603

ENNIS INC                      COM            293389102       23,616       1,200       X        28-5284     1200

ENSTAR GROUP INC GA            COM            29358R107      138,285       1,500       X        28-5284     1500

ENTEGRIS INC                   COM            29362U104       26,265       2,756       X    X   28-5284     2756

ENTERCOM COMMUNICATIONS CORP   CL A           293639100        7,848         300       X    X   28-5284      300
                                                              97,106       3,712       X    X   28-1500     3712

ENTERGY CORP NEW               COM            29364G103    6,310,829      89,199       X        28-5284    88899                 300
                                                           5,261,253      74,364       X    X   28-5284    65624       150      8590
                                                              90,206       1,275       X    X   28-1500     1275
                                                             145,038       2,050       X        28-4580     2050
                                                              88,438       1,250       X    X   28-4580      700                 550

ENTERPRISE PRODS PARTNERS L    COM            293792107       43,351       1,741       X        28-5284     1741
                                                             656,538      26,367       X    X   28-5284    16551      4500      5316
                                                               9,014         362       X    X   28-4580      362

ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105       25,830         600       X    X   28-5284      600
               COLUMN TOTAL                               15,939,777





                                                                                                                   FILE NO. 28-1235
 PAGE    66 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ENTERRA ENERGY TR              TR UNIT        29381P102        6,745         500       X        28-5284      500
                                                               2,698         200       X        28-1500                200
                                                              13,490       1,000       X        28-4580     1000

EQUIFAX INC                    COM            294429105    1,593,445      46,402       X        28-5284    46402
                                                             278,154       8,100       X    X   28-5284     6600                1500

EQUINIX INC                    COM NEW        29444U502      159,094       2,900       X    X   28-5284     2900

EQUITABLE RES INC              COM            294549100    1,781,430      53,177       X        28-5284    51861                1316
                                                           2,586,736      77,216       X    X   28-5284    77216
                                                              95,006       2,836       X    X   28-4580     2836

EQUITY INCOME FD               UT 1 EX SR-ATT 294700703      176,840       2,000       X        28-5284     2000
                                                             123,081       1,392       X    X   28-5284     1192       200

EQUITY INNS INC                COM            294703103       16,560       1,000       X        28-5284     1000

EQUITY OFFICE PROPERTIES TRU   COM            294741103      138,957       3,806       X        28-5284     3806
                                                           2,081,070      57,000       X    X   28-5284    54700                2300

EQUITY ONE                     COM            294752100       14,108         675       X        28-5284      675
                                                             187,912       8,991       X    X   28-5284     8991

EQUITY RESIDENTIAL             SH BEN INT     29476L107       29,030         649       X        28-5284      649
                                                             249,370       5,575       X    X   28-5284     3275                2300

EQUITY RESIDENTIAL             PFD CONV E 7%  29476L883       14,775         300       X    X   28-5284      300

ERESEARCHTECHNOLOGY INC        COM            29481V108       38,220       4,200       X        28-1500     4200

ERICSSON L M TEL CO            ADR B SEK 10   294821608      277,833       8,409       X        28-5284     8409
                                                              17,181         520       X    X   28-5284      520

ERIE INDTY CO                  CL A           29530P102    9,727,640     187,070       X        28-5284   187070
                                                          30,635,228     589,139       X    X   28-5284   589139

ESCALADE INC                   COM            296056104       45,500       3,500       X        28-1500     3500

ESCO TECHNOLOGIES INC          COM            296315104       21,380         400       X    X   28-5284      400

ESSEX CORP                     COM            296744105        3,684         200       X    X   28-1500      200
               COLUMN TOTAL                               50,315,167





                                                                                                                   FILE NO. 28-1235
 PAGE    67 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ESSEX PPTY TR INC              COM            297178105        5,583          50       X    X   28-5284       50

ESTERLINE TECHNOLOGIES CORP    COM            297425100       19,838         477       X        28-5284      477

ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101       69,643       1,008       X        28-5284     1008

ETHAN ALLEN INTERIORS INC      COM            297602104       74,452       2,037       X        28-5284     2037
                                                              95,176       2,604       X    X   28-5284     2604
                                                              43,860       1,200       X    X   28-4580     1200

EURONET WORLDWIDE INC          COM            298736109       38,370       1,000       X    X   28-5284     1000

EUROZINC MNG CORP              COM            298804105        2,410       1,000       X        28-5284     1000
                                                               2,410       1,000       X    X   28-5284     1000

EVERGREEN INCOME ADVANTAGE F   COM SHS        30023Y105       47,530       3,500       X    X   28-5284     3500

EVERGREEN MANAGED INCOME FD    COM SHS        30024Y104       64,760       4,000       X    X   28-5284     4000

EVERGREEN SOLAR INC            COM            30033R108       34,696       2,673       X        28-5284     2673
                                                              12,980       1,000       X    X   28-5284     1000

EVERGREEN UTLS & HIGH INCM F   COM            30034Q109       14,225         661       X        28-5284      661

EXACT SCIENCES CORP            COM            30063P105        1,050         500       X        28-5284      500

EXCEL TECHNOLOGY INC           COM            30067T103        7,480         250       X        28-5284      250

EXELON CORP                    COM            30161N101   57,133,188   1,005,335       X        28-5284   983056       980     21299
                                                          35,154,129     618,584       X    X   28-5284   562311     14100     42173
                                                              68,196       1,200       X    X   28-1500     1200
                                                           1,598,060      28,120       X        28-4580    27575                 545
                                                           1,185,474      20,860       X    X   28-4580    20750                 110

EXPEDIA INC DEL                COM            30212P105        7,495         500       X        28-5284      500
                                                               2,249         150       X    X   28-5284      150
                                                              59,960       4,000       X    X   28-1500     4000

EXPEDITORS INTL WASH INC       COM            302130109       40,551         724       X        28-5284      724
                                                              89,616       1,600       X    X   28-5284     1600

EXPRESS SCRIPTS INC            COM            302182100    1,921,412      26,783       X        28-5284    26633                 150
                                                             445,505       6,210       X    X   28-5284     5830        30       350
               COLUMN TOTAL                               98,240,298





                                                                                                                   FILE NO. 28-1235
 PAGE    68 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
EZCORP INC                     CL A NON VTG   302301106      215,813       5,726       X    X   28-5284     5726

EXXON MOBIL CORP               COM            30231G102  629,399,343  10,259,158       X        28-5284  9963030      1900    294228
                                                        1047,148,794  17,068,440       X    X   28-5284  9224726     91721   7751993
                                                           2,531,730      41,267       X        28-1500      145     41122
                                                          16,853,090     274,704       X        28-4580   273894                 810
                                                          53,139,836     866,175       X    X   28-4580   858018      1000      7157

FBL FINL GROUP INC             CL A           30239F106       35,640       1,100       X        28-5284                         1100

FEI CO                         COM            30241L109       11,340         500       X        28-5284      500
                                                              17,736         782       X        28-1500      782

FLIR SYS INC                   COM            302445101       21,984         960       X        28-5284      960

FMC TECHNOLOGIES INC           COM            30249U101       41,690         618       X        28-5284      618
                                                              14,436         214       X    X   28-5284      214

F M C CORP                     COM NEW        302491303       23,180         360       X        28-5284      360
                                                               8,049         125       X    X   28-5284      125
                                                             111,652       1,734       X    X   28-1500     1734

FMS FINL CORP                  COM            302509104    1,128,400      70,000       X        28-5284    70000

FNB CORP PA                    COM            302520101       35,640       2,260       X        28-5284     2260
                                                             713,324      45,233       X    X   28-5284    30576      9259      5398

FPL GROUP INC                  COM            302571104   33,162,967     801,425       X        28-5284   799771                1654
                                                          37,007,706     894,338       X    X   28-5284   815798      1100     77440
                                                              49,118       1,187       X        28-1500               1187
                                                             499,126      12,062       X        28-4580    12062
                                                           1,163,109      28,108       X    X   28-4580    26308                1800

FX ENERGY INC                  COM            302695101       27,720       6,000       X        28-4580     6000

F N B CORP VA                  COM            302930102    1,391,200      37,600       X        28-1500    37600

FACTSET RESH SYS INC           COM            303075105       68,585       1,450       X        28-5284     1450
                                                              48,246       1,020       X    X   28-5284     1020

FAIR ISAAC CORP                COM            303250104       22,839         629       X        28-5284      629
                                                              15,432         425       X    X   28-5284      425
               COLUMN TOTAL                            1,824,907,725





                                                                                                                   FILE NO. 28-1235
 PAGE    69 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FAIRCHILD SEMICONDUCTOR INTL   COM            303726103       16,353         900       X        28-5284      900
                                                               9,085         500       X    X   28-5284      500

FALCONBRIDGE LTD NEW 2005      COM            306104100       11,574         219       X        28-5284      219
                                                             211,400       4,000       X    X   28-5284     4000

FAMILY DLR STORES INC          COM            307000109      480,880      19,684       X        28-5284    19684
                                                              71,458       2,925       X    X   28-5284     2925
                                                               7,329         300       X    X   28-1500      300

FAMOUS DAVES AMER INC          COM            307068106       73,150       5,500       X        28-1500     5500

FARMERS CAP BK CORP            COM            309562106      124,450       3,800       X        28-5284     3800
                                                                 721          22       X        28-1500       22

FASTENAL CO                    COM            311900104      132,957       3,300       X        28-5284     3300
                                                              48,348       1,200       X    X   28-5284     1200

FEDERAL HOME LN MTG CORP       COM            313400301   32,313,838     566,810       X        28-5284   531040               35770
                                                           9,944,311     174,431       X    X   28-5284   169306      2195      2930
                                                             716,787      12,573       X        28-1500     3988      8585
                                                             125,422       2,200       X        28-4580     2200
                                                              85,515       1,500       X    X   28-4580     1500

FEDERAL NATL MTG ASSN          COM            313586109   22,690,694     471,740       X        28-5284   468635                3105
                                                          15,919,465     330,966       X    X   28-5284   307512      8800     14654
                                                              35,738         743       X    X   28-1500      743
                                                             157,143       3,267       X        28-4580     3267
                                                             114,622       2,383       X    X   28-4580     2383

FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206      619,500       8,850       X        28-5284     8850
                                                           2,134,790      30,497       X    X   28-5284    29997                 500

FEDERATED DEPT STORES INC DE   COM            31410H101   18,869,020     515,547       X        28-5284   495807               19740
                                                           6,471,978     176,830       X    X   28-5284   165832      4310      6688
                                                             164,700       4,500       X        28-1500               4500
                                                             518,110      14,156       X        28-4580    13626                 530
                                                             107,531       2,938       X    X   28-4580     2938

FEDERATED INVS INC PA          CL B           314211103       31,500       1,000       X    X   28-1500     1000

FEDERATED PREM MUN INC FD      COM            31423P108      345,685      23,500       X    X   28-5284    23500
               COLUMN TOTAL                              112,554,054






                                                                                                                   FILE NO. 28-1235
 PAGE    70 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FEDEX CORP                     COM            31428X106   24,431,336     209,065       X        28-5284   202445       300      6320
                                                           8,547,842      73,146       X    X   28-5284    69218      2245      1683
                                                              78,296         670       X        28-1500                670
                                                             908,587       7,775       X        28-4580     7563                 212
                                                             138,713       1,187       X    X   28-4580     1187

FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100       41,003       1,842       X        28-5284     1842
                                                              26,712       1,200       X    X   28-5284     1200
                                                              89,040       4,000       X        28-4580     4000

FIDELITY BANKSHARES INC NEW    COM            31604Q107       31,820       1,000       X        28-5284     1000

FIDELITY NATL INFORMATION SV   COM            31620M106      641,696      18,127       X        28-5284    18127
                                                              17,700         500       X    X   28-5284      500

FIDELITY NATL TITLE GROUP IN   CL A           31620R105        1,220          62       X        28-5284       62
                                                              21,421       1,089       X    X   28-5284      440                 649

FIDELITY NATL FINL INC         COM            316326107      214,926       5,518       X        28-5284     5518
                                                           6,639,417     170,460       X    X   28-5284   170460

FIELDSTONE INVT CORP           COM            31659U300        3,206         350       X    X   28-1500      350

FIFTH THIRD BANCORP            COM            316773100   26,488,273     716,868       X        28-5284   710606                6262
                                                           6,952,512     188,160       X    X   28-5284   169619      2964     15577
                                                             398,986      10,798       X        28-1500       72     10726
                                                              11,085         300       X    X   28-4580      300

FINISH LINE INC                CL A           317923100        5,915         500       X        28-5284      500
                                                             285,162      24,105       X        28-1500    12500     11605

FIRST AMERN CORP CALIF         COM            318522307       57,741       1,366       X        28-5284     1366
                                                             147,945       3,500       X    X   28-5284                         3500

FIRST BANCORP N C              COM            318910106       19,614         934       X        28-5284      934

FIRST CASH FINL SVCS INC       COM            31942D107       81,054       4,104       X    X   28-5284     1221                2883

FIRST COMWLTH FINL CORP PA     COM            319829107      225,425      17,750       X        28-5284    17750
                                                             448,247      35,295       X    X   28-5284    30745                4550

FIRST CONSULTING GROUP INC     COM            31986R103       35,360       4,000       X        28-5284     4000
               COLUMN TOTAL                               76,990,254






                                                                                                                   FILE NO. 28-1235
 PAGE    71 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 DATA CORP                COM            319963104   48,672,566   1,080,652       X        28-5284  1035517               45135
                                                          16,294,526     361,779       X    X   28-5284   355579      2442      3758
                                                             642,000      14,254       X        28-1500     4904      9350
                                                              27,024         600       X        28-4580      600
                                                              84,765       1,882       X    X   28-4580     1882

FIRST FINL BANCORP OH          COM            320209109      171,465      11,500       X    X   28-5284    11500

FIRST FINL CORP IND            COM            320218100        3,151         105       X        28-1500      105

FIRST FINL SVC CORP            COM            32022D108      514,078      16,855       X        28-5284    16855
                                                              38,735       1,270       X        28-1500     1270

FIRST FINL HLDGS INC           COM            320239106       57,600       1,800       X        28-5284      900                 900
                                                              41,600       1,300       X    X   28-5284                         1300

FIRST FRANKLIN CORP            COM            320272107      483,525      30,700       X        28-5284    30700

FIRST HORIZON NATL CORP        COM            320517105    1,246,200      31,000       X        28-5284    31000
                                                             136,680       3,400       X    X   28-5284     1400      2000
                                                              71,636       1,782       X    X   28-1500     1782

1ST INDEPENDENCE FINL GRP IN   COM            32053S107       24,560       1,484       X        28-5284     1484

FIRST INDUSTRIAL REALTY TRUS   COM            32054K103       30,352         800       X        28-5284      800
                                                              53,116       1,400       X    X   28-5284     1400

FIRST ISRAEL FD INC            COM            32063L100        7,520         500       X        28-5284      500

FIRST MARBLEHEAD CORP          COM            320771108    1,674,036      29,400       X    X   28-5284    29400

FIRST MIDWEST BANCORP DEL      COM            320867104       37,599       1,014       X    X   28-5284       14      1000

FIRST NIAGARA FINL GP INC      COM            33582V108      133,190       9,500       X        28-5284     6700                2800
                                                              54,678       3,900       X    X   28-5284                         3900

FIRST POTOMAC RLTY TR          COM            33610F109       22,343         750       X        28-5284      750
                                                              29,790       1,000       X    X   28-5284     1000
                                                              37,327       1,253       X    X   28-1500     1253

FIRST PL FINL CORP             COM            33610T109       10,355         450       X    X   28-5284                          450

FIRST REP BK SAN FRANCISCO     COM            336158100      185,490       4,050       X        28-5284     4050
               COLUMN TOTAL                               70,785,907






                                                                                                                   FILE NO. 28-1235
 PAGE    72 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 ST FINL CORP FLA         COM            33708M206        3,403         188       X        28-1500      188

FIRST TR FOUR CRNRS SR FLT R   COM SHS        33733Q107       44,250       2,500       X        28-5284     2500

FIRST TR VALUE LINE DIV FD     COM SHS        33735A100      124,900       8,288       X        28-5284     8288

FIRST TR STRATEGIC HIGH INC    COM SHS        337353106       25,845       1,322       X    X   28-5284     1322

FIRST W VA BANCORP INC         COM            337493100       19,342       1,018       X        28-5284     1018

FISERV INC                     COM            337738108    3,894,474      85,857       X        28-5284    85857
                                                             629,415      13,876       X    X   28-5284    13766       110

FLAGSTAR BANCORP INC           COM            337930101       15,960       1,000       X        28-5284     1000
                                                              23,940       1,500       X    X   28-5284     1500

FIRSTENERGY CORP               COM            337932107      602,165      11,108       X        28-5284    10508                 600
                                                             783,822      14,459       X    X   28-5284    13034                1425
                                                              23,039         425       X    X   28-1500      425
                                                               5,421         100       X    X   28-4580      100

FISHER SCIENTIFIC INTL INC     NOTE  3.250% 3 338032AX3      333,750       3,000       X        28-5284     3000

FISHER SCIENTIFIC INTL INC     COM NEW        338032204       11,688         160       X        28-5284      160
                                                             438,008       5,996       X    X   28-5284     2776                3220
                                                               3,653          50       X    X   28-1500       50

FIVE STAR QUALITY CARE INC     COM            33832D106           55           5       X        28-5284        5

FLAHERTY & CRMN/CLYMR PFD SE   COM SHS        338478100      111,540       5,720       X    X   28-5284     5720

FLAHERTY & CRUMRINE PFD INC    COM            33848E106       45,022       4,056       X        28-5284     4056

FLAHERTY & CRUMRINE PFD INC    COM            338480106       13,671         900       X    X   28-5284      900

FLORIDA EAST COAST INDS        COM            340632108       49,714         950       X    X   28-5284      950

FLORIDA ROCK INDS INC          COM            341140101       16,739         337       X        28-5284      337
                                                           1,636,328      32,944       X    X   28-5284    32944

FLUOR CORP NEW                 COM            343412102      194,131       2,089       X        28-5284     2089
                                                             527,749       5,679       X    X   28-5284     5129                 550
                                                              74,344         800       X    X   28-1500      800
               COLUMN TOTAL                                9,652,368






                                                                                                                   FILE NO. 28-1235
 PAGE    73 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FLOWSERVE CORP                 COM            34354P105        1,992          35       X    X   28-5284       35

FOCUS MEDIA HLDG LTD           SPONSORED ADR  34415V109       13,032         200       X        28-5284      200

FOOT LOCKER INC                COM            344849104       13,470         550       X        28-5284      550
                                                           1,133,275      46,275       X    X   28-5284    22775               23500

FORD MTR CO DEL                COM PAR $0.01  345370860      266,209      38,414       X        28-5284    38065                 349
                                                             532,550      76,847       X    X   28-5284    73625       100      3122
                                                               6,930       1,000       X        28-1500               1000
                                                             768,537     110,900       X       28-11439   110900
                                                              18,559       2,678       X        28-4580     2678
                                                              17,325       2,500       X    X   28-4580     1500                1000

FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206        3,197         115       X        28-5284      115
                                                               7,784         280       X    X   28-5284      280

FORDING CDN COAL TR            TR UNIT        345425102      154,538       4,875       X        28-5284     3975                 900
                                                             338,239      10,670       X    X   28-5284     6170                4500
                                                              11,095         350       X    X   28-1500      350
                                                              72,276       2,280       X    X   28-4580     2280

FOREST CITY ENTERPRISES INC    CL A           345550107       34,937         700       X        28-5284      700
                                                              79,856       1,600       X    X   28-5284                         1600

FOREST CITY ENTERPRISES INC    CL B CONV      345550305       39,816         800       X        28-5284      800

FOREST LABS INC                COM            345838106      512,643      13,250       X        28-5284    12750                 500
                                                             224,131       5,793       X    X   28-5284     5793

FOREST OIL CORP                COM PAR $0.01  346091705        9,948         300       X    X   28-1500      300

FORTUNE BRANDS INC             COM            349631101   34,668,218     488,216       X        28-5284   473216       100     14900
                                                          46,680,341     657,377       X    X   28-5284   557196      1846     98335
                                                             216,581       3,050       X        28-1500               3050
                                                             440,546       6,204       X        28-4580     6204
                                                             439,197       6,185       X    X   28-4580     6185

FORTUNE BRANDS INC             PFD CV $2.67   349631200       46,400         100       X        28-5284      100

FORWARD AIR CORP               COM            349853101        6,110         150       X        28-5284      150
               COLUMN TOTAL                               86,757,732






                                                                                                                   FILE NO. 28-1235
 PAGE    74 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FOSSIL INC                     COM            349882100       89,077       4,946       X        28-5284     4946
                                                                  18           1       X        28-1500        1

FOUNDRY NETWORKS INC           COM            35063R100        9,594         900       X        28-5284      900
                                                             261,170      24,500       X        28-1500    24500

FOUR SEASONS HOTEL INC         LTD VTG SH     35100E104       15,360         250       X    X   28-5284      250

FRANCE TELECOM                 SPONSORED ADR  35177Q105       27,128       1,241       X        28-5284     1241

FRANKLIN BK CORP DEL           COM            352451108       32,627       1,616       X        28-5284     1616

FRANKLIN CR MGMT CORP          COM NEW        353487200        2,331         300       X        28-5284      300

FRANKLIN RES INC               COM            354613101   22,185,077     255,559       X        28-5284   244354       300     10905
                                                           8,181,495      94,246       X    X   28-5284    82260      9360      2626
                                                             117,194       1,350       X    X   28-1500     1350
                                                             382,311       4,404       X        28-4580     4324                  80
                                                              57,729         665       X    X   28-4580      665

FREEPORT-MCMORAN COPPER & GO   CL B           35671D857      273,615       4,938       X        28-5284     4938
                                                             232,833       4,202       X    X   28-5284     3336                 866
                                                               4,599          83       X    X   28-1500       83
                                                             346,368       6,251       X    X   28-4580     6251

FREESCALE SEMICONDUCTOR INC    COM CL A       35687M107      106,575       3,675       X        28-5284     3675

FREESCALE SEMICONDUCTOR INC    CL B           35687M206      798,181      27,149       X        28-5284    26529                 620
                                                           1,092,945      37,175       X    X   28-5284    37175
                                                                 382          13       X        28-4580       13
                                                                 617          21       X    X   28-4580       21

FREMONT GEN CORP               COM            357288109    9,541,696     514,100       X        28-1500   514100

FRESENIUS MED CARE AG&CO KGA   SPONSORED ADR  358029106       21,556         564       X    X   28-5284      564

FRIEDMAN BILLINGS RAMSEY GRO   CL A           358434108       16,455       1,500       X        28-5284     1500
                                                             175,904      16,035       X    X   28-5284       35               16000

FRONTIER OIL CORP              COM            35914P105    1,513,080      46,700       X    X   28-5284    46700
               COLUMN TOTAL                               45,485,917






                                                                                                                   FILE NO. 28-1235
 PAGE    75 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
FUELCELL ENERGY INC            COM            35952H106        7,060         737       X        28-5284      737
                                                              24,908       2,600       X    X   28-5284     2600
                                                               5,786         604       X        28-1500      604

FUEL-TECH N V                  COM            359523107        1,210         100       X        28-5284      100

FULTON FINL CORP PA            COM            360271100      456,761      28,691       X        28-5284    28691
                                                           2,885,229     181,233       X    X   28-5284   125894               55339
                                                              46,057       2,893       X        28-4580     2893

FURNITURE BRANDS INTL INC      COM            360921100       45,848       2,200       X        28-5284     2200

G & K SVCS INC                 CL A           361268105       34,300       1,000       X        28-5284     1000
                                                             102,900       3,000       X    X   28-5284     3000

GATX CORP                      COM            361448103       13,685         322       X        28-5284      322
                                                              19,720         464       X    X   28-5284      464

GEO GROUP INC                  COM            36159R103       45,565       1,300       X        28-5284     1300

GFI GROUP INC                  COM            361652209        5,395         100       X    X   28-5284      100

GMH CMNTYS TR                  COM            36188G102       26,360       2,000       X    X   28-5284     2000

GABELLI GLOBAL MULTIMEDIA TR   COM            36239Q109       17,007       1,669       X        28-5284     1669

GABELLI EQUITY TR INC          COM            362397101      127,731      15,558       X        28-5284    15558
                                                             101,747      12,393       X    X   28-5284    12393

GABELLI UTIL TR                COM            36240A101       10,766       1,229       X        28-5284     1229

GABELLI DIVD & INCOME TR       COM            36242H104        9,511         513       X        28-5284      513
                                                              11,124         600       X    X   28-1500      600
                                                              37,080       2,000       X        28-4580     2000

GABELLI GLB GLD NAT RES & IN   COM SHS BN INT 36244N109       44,500       2,000       X    X   28-5284     2000

GAIAM INC                      CL A           36268Q103          491          35       X        28-5284       35

GALLAGHER ARTHUR J & CO        COM            363576109      124,166       4,900       X    X   28-5284      600                4300
               COLUMN TOTAL                                4,204,907






                                                                                                                   FILE NO. 28-1235
 PAGE    76 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GALLAHER GROUP PLC             SPONSORED ADR  363595109    2,234,617      35,731       X        28-5284    31015                4716
                                                          11,574,215     185,069       X    X   28-5284   183949                1120
                                                              72,046       1,152       X        28-4580     1152

GAMESTOP CORP NEW              CL A           36467W109       21,000         500       X        28-5284      500

GAMESTOP CORP NEW              CL B           36467W208        4,350         127       X        28-5284                          127
                                                              91,276       2,665       X    X   28-5284     2665

GANNETT INC                    COM            364730101   23,056,415     412,237       X        28-5284   405497                6740
                                                          11,378,175     203,436       X    X   28-5284   195076      1100      7260
                                                             104,925       1,876       X        28-1500     1876
                                                             270,757       4,841       X    X   28-1500     4841
                                                             155,877       2,787       X        28-4580     2787
                                                             486,591       8,700       X    X   28-4580     8700

GAP INC DEL                    COM            364760108       38,611       2,219       X        28-5284     2219
                                                              71,949       4,135       X    X   28-5284     1235                2900

GARDNER DENVER INC             COM            365558105       20,097         522       X        28-5284      522
                                                              11,088         288       X    X   28-5284      288

GARTNER INC                    COM            366651107        2,258         159       X        28-5284      159
                                                               1,477         104       X    X   28-4580      104

GASTAR EXPL LTD                COM            367299104        2,390       1,000       X    X   28-5284     1000

GATEWAY INC                    COM            367626108        8,930       4,700       X        28-5284     4700

GEN-PROBE INC NEW              COM            36866T103       32,388         600       X    X   28-5284      600

GEMSTAR-TV GUIDE INTL INC      COM            36866W106        3,520       1,000       X    X   28-5284     1000

GENAERA CORP                   COM            36867G100        6,600      12,000       X        28-5284    12000

GENENTECH INC                  COM NEW        368710406      657,345       8,036       X        28-5284     8036
                                                             791,088       9,671       X    X   28-5284     7471                2200
                                                             155,420       1,900       X    X   28-1500     1900
                                                              65,440         800       X    X   28-4580      800

GENERAL AMERN INVS INC         COM            368802104       72,814       2,017       X    X   28-5284     2017

GENERAL CABLE CORP DEL NEW     COM            369300108       83,685       2,391       X        28-5284     2391
               COLUMN TOTAL                               51,475,344






                                                                                                                   FILE NO. 28-1235
 PAGE    77 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GENERAL COMMUNICATION INC      CL A           369385109       82,716       6,714       X        28-1500     6714

GENERAL DYNAMICS CORP          COM            369550108   11,759,300     179,641       X        28-5284   145359               34282
                                                           7,867,376     120,186       X    X   28-5284   114836       250      5100
                                                               6,546         100       X    X   28-1500      100
                                                              13,092         200       X        28-4580      200
                                                              13,092         200       X    X   28-4580      200

GENERAL ELECTRIC CO            COM            369604103  513,693,532  15,585,362       X        28-5284 14998817      2150    584395
                                                         580,690,928  17,618,050       X    X   28-5284 14550060    167874   2900116
                                                           3,623,326     109,931       X        28-1500      245    109686
                                                             699,741      21,230       X       28-11439    21230
                                                          14,447,291     438,328       X        28-4580   434618                3710
                                                          13,316,829     404,030       X    X   28-4580   398450      3000      2580

GENERAL GROWTH PPTYS INC       COM            370021107      260,762       5,787       X        28-5284     5787
                                                             761,514      16,900       X    X   28-5284    16900
                                                               4,146          92       X    X   28-4580       19                  73

GENERAL MLS INC                COM            370334104   11,791,292     228,248       X        28-5284   220048                8200
                                                          14,176,847     274,426       X    X   28-5284   263980      1300      9146
                                                              43,033         833       X        28-1500                833
                                                              51,660       1,000       X        28-4580     1000
                                                              72,324       1,400       X    X   28-4580     1000                 400

GENERAL MTRS CORP              COM            370442105    1,632,909      54,814       X        28-5284    34346       100     20368
                                                           2,108,864      70,791       X    X   28-5284    68393       100      2298
                                                              89,370       3,000       X       28-11439     3000
                                                              90,472       3,037       X        28-4580     3037
                                                              12,542         421       X    X   28-4580      421

GENEREX BIOTECHNOLOGY CP DEL   COM            371485103        9,050       5,000       X        28-5284     5000

GENESEE & WYO INC              CL A           371559105    1,258,901      35,492       X    X   28-5284    27992                7500

GENESIS HEALTHCARE CORP        COM            37184D101        9,474         200       X    X   28-5284      200

GENTEX CORP                    COM            371901109        8,400         600       X        28-5284      600
                                                              63,000       4,500       X    X   28-5284     4500
                                                              43,764       3,126       X        28-1500     3126

GENESIS ENERGY L P             UNIT LTD PARTN 371927104        6,990         500       X    X   28-5284      500
               COLUMN TOTAL                            1,178,709,083






                                                                                                                   FILE NO. 28-1235
 PAGE    78 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GENLYTE GROUP INC              COM            372302109        5,432          75       X    X   28-5284       75

GENOMIC HEALTH INC             COM            37244C101      153,010      13,000       X        28-5284    13000

GENTA INC                      COM NEW        37245M207        3,280       2,000       X    X   28-5284     2000

GENTEK INC                     COM NEW        37245X203           81           3       X        28-5284        3

GENUINE PARTS CO               COM            372460105    1,199,516      28,793       X        28-5284    28793
                                                           2,218,520      53,253       X    X   28-5284    51228                2025
                                                             324,948       7,800       X    X   28-1500     7800
                                                              24,996         600       X        28-4580      600

GENWORTH FINL INC              COM CL A       37247D106        7,212         207       X        28-5284      207
                                                              34,840       1,000       X    X   28-5284     1000

GENZYME CORP                   NOTE  1.250%12 372917AN4      311,625       3,000       X        28-5284     3000

GENZYME CORP                   COM            372917104   11,933,382     195,469       X        28-5284   195349                 120
                                                           5,840,776      95,672       X    X   28-5284    90297       850      4525
                                                              14,652         240       X    X   28-1500      240
                                                             183,150       3,000       X        28-4580     3000
                                                              47,314         775       X    X   28-4580      775

GEORGIA GULF CORP              COM PAR $0.01  373200203       20,016         800       X    X   28-5284      600                 200

GERDAU AMERISTEEL CORP         COM            37373P105        8,534         850       X        28-5284      850

GERMAN AMERN BANCORP INC       COM            373865104       40,008       3,087       X        28-5284     3087
                                                              84,344       6,508       X        28-1500     6508

GETTY IMAGES INC               COM            374276103       66,686       1,050       X        28-5284     1050
                                                              69,861       1,100       X    X   28-5284     1100

GETTY RLTY CORP NEW            COM            374297109       28,440       1,000       X    X   28-5284     1000

GEVITY HR INC                  COM            374393106       11,071         417       X    X   28-1500      417

GIBRALTAR INDS INC             COM            374689107       68,701       2,369       X        28-5284     2369
               COLUMN TOTAL                               22,700,395






                                                                                                                   FILE NO. 28-1235
 PAGE    79 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GILEAD SCIENCES INC            COM            375558103   17,505,976     295,909       X        28-5284   285209       500     10200
                                                          10,149,726     171,564       X    X   28-5284   166576      2760      2228
                                                              35,496         600       X        28-1500                600
                                                             452,160       7,643       X        28-4580     7322                 321
                                                              66,732       1,128       X    X   28-4580     1128

GILDAN ACTIVEWEAR INC          COM            375916103        7,050         150       X        28-5284                          150
                                                           1,226,700      26,100       X    X   28-5284    26100

GLACIER BANCORP INC NEW        COM            37637Q105       26,343         900       X        28-5284      900

GLADSTONE COML CORP            COM            376536108       22,512       1,200       X    X   28-5284     1200
                                                              13,695         730       X    X   28-1500      730

GLADSTONE INVT CORP            COM            376546107       88,815       5,921       X    X   28-1500     5921

GLATFELTER                     COM            377316104    6,521,316     410,921       X        28-5284   410921
                                                          27,392,699   1,726,068       X    X   28-5284  1724668                1400

GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105   18,947,448     339,560       X        28-5284   336182                3378
                                                          36,450,792     653,240       X    X   28-5284   645173       682      7385
                                                               7,477         134       X        28-1500                134
                                                             134,924       2,418       X        28-4580     2418
                                                             904,964      16,218       X    X   28-4580    16218

GLENAYRE TECHNOLOGIES INC      COM            377899109        3,960       1,500       X        28-5284     1500
                                                                 792         300       X    X   28-5284      300

GLIMCHER RLTY TR               SH BEN INT     379302102       53,763       2,167       X        28-5284     2167
                                                              54,582       2,200       X    X   28-5284     2200
                                                             129,012       5,200       X    X   28-1500     5200

GLOBAL HIGH INCOME DLR FD IN   COM            37933G108       14,490       1,050       X        28-5284     1050

GLOBAL PMTS INC                COM            37940X102       33,014         680       X    X   28-5284      680

GLOBAL POWER EQUIPMENT INC     COM            37941P108          636         200       X    X   28-5284      200

GLOBAL SIGNAL INC              COM            37944Q103        4,632         100       X    X   28-5284      100

GLOBECOMM SYSTEMS INC          COM            37956X103       55,875       7,500       X    X   28-5284     7500

GMX RES INC                    COM            38011M108        3,092         100       X    X   28-5284      100
               COLUMN TOTAL                              120,308,673






                                                                                                                   FILE NO. 28-1235
 PAGE    80 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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    1,388,760      39,120       X    X   28-5284    39120

GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106       36,159       1,579       X        28-5284     1579

GOLDCORP INC NEW               COM            380956409      112,116       3,710       X        28-5284     3710
                                                              75,550       2,500       X    X   28-5284     2500
                                                              30,220       1,000       X        28-4580     1000

GOLDEN WEST FINL CORP DEL      COM            381317106    1,105,135      14,894       X        28-5284    14404                 490
                                                             508,344       6,851       X    X   28-5284     5651                1200

GOLDMAN SACHS GROUP INC        COM            38141G104   58,414,526     388,317       X        28-5284   379176       450      8691
                                                          24,420,957     162,341       X    X   28-5284   156144      3280      2917
                                                             111,769         743       X        28-1500                743
                                                           1,225,102       8,144       X        28-4580     7927                 217
                                                           1,087,007       7,226       X    X   28-4580     7167                  59

GOODRICH CORP                  COM            382388106       81,063       2,012       X        28-5284     2012
                                                              27,155         674       X    X   28-5284      674

GOODYEAR TIRE & RUBR CO        COM            382550101        1,332         120       X        28-5284      120
                                                              23,232       2,093       X    X   28-5284     1139                 954
                                                              28,860       2,600       X       28-11439     2600

GOOGLE INC                     CL A           38259P508      487,681       1,163       X        28-5284     1163
                                                             482,649       1,151       X    X   28-5284     1121                  30
                                                             117,412         280       X    X   28-1500      280
                                                              41,933         100       X        28-4580      100
                                                               3,355           8       X    X   28-4580        2                   6

GORMAN RUPP CO                 COM            383082104       33,250       1,250       X        28-5284     1250
                                                              16,625         625       X    X   28-5284      625

GRACE W R & CO DEL NEW         COM            38388F108       13,256       1,133       X    X   28-5284      220                 913

GRACO INC                      COM            384109104      438,741       9,542       X        28-5284     9542
                                                             524,172      11,400       X    X   28-5284    11400

GRAINGER W W INC               COM            384802104    1,921,073      25,536       X        28-5284    21942                3594
                                                           1,175,845      15,630       X    X   28-5284    13630                2000
                                                             331,012       4,400       X    X   28-4580     4400
               COLUMN TOTAL                               94,264,291






                                                                                                                   FILE NO. 28-1235
 PAGE    81 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
GRANITE CONSTR INC             COM            387328107       16,297         360       X        28-5284      360
                                                           1,205,540      26,630       X    X   28-5284    26630

GRANT PRIDECO INC              COM            38821G101       44,750       1,000       X        28-5284     1000
                                                             706,916      15,797       X    X   28-5284    15797
                                                               4,475         100       X    X   28-4580      100

GREAT AMERN FINL RES INC       COM            389915109        8,372         400       X        28-5284      400

GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102       10,555          95       X        28-5284       95
                                                              38,889         350       X    X   28-5284      350

GREAT PLAINS ENERGY INC        COM            391164100      525,300      18,855       X        28-5284    16055                2800
                                                             270,242       9,700       X    X   28-5284     9700

GREAT WOLF RESORTS INC         COM            391523107        1,201         100       X    X   28-5284      100

GREATER BAY BANCORP            COM            391648102    9,844,000     342,400       X        28-1500   342400

GREATER CHINA FD INC           COM            39167B102       31,022       1,735       X        28-5284     1735
                                                              17,880       1,000       X    X   28-5284               1000

GREEN MTN COFFEE ROASTERS IN   COM            393122106       16,068         400       X    X   28-5284      400

GREENHILL & CO INC             COM            395259104    1,251,656      20,600       X    X   28-5284    20600

GREY WOLF INC                  COM            397888108        4,043         525       X    X   28-5284      525

GRIFFON CORP                   COM            398433102       70,157       2,688       X        28-5284     2688
                                                              71,775       2,750       X    X   28-5284     2750

GROUP 1 AUTOMOTIVE INC         COM            398905109      152,569       2,708       X    X   28-1500     2708

GROUPE DANONE                  SPONSORED ADR  399449107       67,208       2,520       X        28-5284      120                2400
                                                              13,335         500       X    X   28-5284      500

GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206       17,765         920       X        28-5284      920

GTECH HLDGS CORP               COM            400518106        2,400          69       X    X   28-4580       18                  51

GUITAR CTR MGMT INC            COM            402040109        8,894         200       X    X   28-5284      200

H & E EQUIPMENT SERVICES INC   COM            404030108        1,767          60       X    X   28-5284       60
               COLUMN TOTAL                               14,403,076






                                                                                                                   FILE NO. 28-1235
 PAGE    82 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
H & Q LIFE SCIENCES INVS       SH BEN INT     404053100       92,614       6,010       X        28-5284     6010
                                                              15,287         992       X    X   28-5284      992

HCA INC                        COM            404119109    1,701,836      39,440       X        28-5284    37046                2394
                                                             473,485      10,973       X    X   28-5284     8714                2259
                                                              77,670       1,800       X        28-1500               1800

HCC INS HLDGS INC              COM            404132102       44,925       1,526       X        28-5284     1526

HDFC BANK LTD                  ADR REPS 3 SHS 40415F101      218,200       4,000       X    X   28-5284     4000

HNI CORP                       COM            404251100      213,145       4,700       X        28-5284     4700
                                                             217,680       4,800       X    X   28-5284     4800

HRPT PPTYS TR                  COM SH BEN INT 40426W101      110,976       9,600       X        28-5284     9600
                                                              19,652       1,700       X    X   28-5284      200                1500

HSBC HLDGS PLC                 SPON ADR NEW   404280406    3,114,868      35,256       X        28-5284    30999                4257
                                                           1,864,362      21,102       X    X   28-5284    20696                 406
                                                             176,700       2,000       X    X   28-4580     2000

HAEMONETICS CORP               COM            405024100        9,302         200       X    X   28-5284      200

HAIN CELESTIAL GROUP INC       COM            405217100       12,880         500       X    X   28-5284      500

HALLIBURTON CO                 NOTE  3.125% 7 406216AM3      601,500       3,000       X        28-5284     3000

HALLIBURTON CO                 COM            406216101    6,139,764      82,735       X        28-5284    82692                  43
                                                           7,098,780      95,658       X    X   28-5284    89874      3900      1884
                                                             233,613       3,148       X    X   28-1500     3148
                                                              25,974         350       X        28-4580      350

JOHN HANCOCK BK &THRIFT OPP    SH BEN INT     409735107       36,427       3,860       X        28-5284     3860

HANCOCK FABRICS INC            COM            409900107           13           4       X    X   28-1500        4

HANCOCK JOHN INCOME SECS TR    COM            410123103       11,916         900       X    X   28-5284      900

HANCOCK JOHN PATRIOT PFD DIV   COM            41013J107       90,675       7,500       X    X   28-5284     7500

HANCOCK JOHN PATRIOT PREM DI   COM            41013Q101       51,440       6,422       X        28-5284     6422
               COLUMN TOTAL                               22,653,684






                                                                                                                   FILE NO. 28-1235
 PAGE    83 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 PATRIOT PREM II   COM SH BEN INT 41013T105        5,150         500       X    X   28-5284      500
                                                              10,300       1,000       X        28-4580     1000

HANCOCK JOHN TAX-ADV DIV INC   COM            41013V100        5,603         325       X        28-5284      325
                                                              25,860       1,500       X    X   28-5284     1500

HANCOCK JOHN PFD INCOME FD I   COM            41013X106       22,150       1,000       X        28-5284     1000

HANMI FINL CORP                COM            410495105       58,320       3,000       X    X   28-5284     3000

HANOVER CAP MTG HLDGS INC      COM            410761100        4,394         837       X        28-5284      837
                                                              11,046       2,104       X    X   28-5284     2104

HANOVER COMPRESSOR CO          COM            410768105       38,011       2,024       X        28-5284     2024

HANOVER INS GROUP INC          COM            410867105      323,298       6,812       X        28-5284     6812
                                                              51,779       1,091       X    X   28-5284                         1091

HANSEN NAT CORP                COM            411310105      175,902         924       X        28-5284      924

HANSON PLC NEW                 SPONSORED ADR  411349103       12,950         213       X        28-5284      213
                                                              11,370         187       X    X   28-5284                          187

HARBOR FLA BANCSHARES INC      COM            411901101       67,223       1,810       X        28-5284      510                1300
                                                             116,991       3,150       X    X   28-5284      250                2900

HARKEN ENERGY CORP             COM NEW        412552309          320         500       X    X   28-5284      500

HARLEY DAVIDSON INC            COM            412822108   40,092,479     730,415       X        28-5284   669360               61055
                                                           9,722,007     177,118       X    X   28-5284   165392      6260      5466
                                                             518,381       9,444       X        28-1500     5494      3950

HARLEYSVILLE GROUP INC         COM            412824104       39,460       1,244       X        28-5284     1244
                                                              17,446         550       X    X   28-5284      550

HARLEYSVILLE NATL CORP PA      COM            412850109      292,825      13,806       X        28-5284    13806
                                                           1,347,683      63,540       X    X   28-5284    63540

HARMAN INTL INDS INC           COM            413086109        3,415          40       X        28-5284       40

HARMONIC INC                   COM            413160102       57,416      12,816       X        28-1500    12816
               COLUMN TOTAL                               53,031,779






                                                                                                                   FILE NO. 28-1235
 PAGE    84 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HARRAHS ENTMT INC              COM            413619107      582,964       8,190       X        28-5284     6690                1500
                                                             457,047       6,421       X    X   28-5284     3421                3000
                                                               2,705          38       X    X   28-4580        6                  32

HARRIS & HARRIS GROUP INC      COM            413833104        5,520         500       X        28-5284      500
                                                             126,960      11,500       X    X   28-1500    11500

HARRIS CORP DEL                COM            413875105    2,864,398      69,005       X        28-5284    68955                  50
                                                             492,973      11,876       X    X   28-5284    11636        90       150

HARSCO CORP                    COM            415864107       50,674         650       X        28-5284      650
                                                           1,908,929      24,486       X    X   28-5284    24486

HARTE-HANKS INC                COM            416196103       38,460       1,500       X        28-5284     1500

HARTFORD FINL SVCS GROUP INC   COM            416515104      889,823      10,518       X        28-5284    10518
                                                           1,675,249      19,802       X    X   28-5284    19302                 500
                                                              16,920         200       X        28-1500                200
                                                              12,775         151       X        28-4580      151

HARVEST ENERGY TR              TRUST UNIT     41752X101      119,120       4,000       X        28-5284     4000

HASBRO INC                     COM            418056107       24,992       1,380       X        28-5284     1380
                                                              67,442       3,724       X    X   28-5284     3724
                                                              36,220       2,000       X       28-11439     2000

HAVAS                          SPONSORED ADR  419313101           20           4       X        28-5284        4

HAWAIIAN ELEC INDUSTRIES       COM            419870100       11,164         400       X        28-5284      400
                                                             143,737       5,150       X    X   28-5284     5150

HEALTHCARE SVCS GRP INC        COM            421906108        3,143         150       X        28-5284      150

HEALTH CARE PPTY INVS INC      COM            421915109      686,523      25,674       X        28-5284    25674
                                                             900,871      33,690       X    X   28-5284    33690
                                                             153,755       5,750       X    X   28-1500     5750

HEALTH MGMT ASSOC INC NEW      CL A           421933102      126,144       6,400       X        28-5284     3700                2700
                                                              70,956       3,600       X    X   28-5284                         3600

HEALTHCARE RLTY TR             COM            421946104      212,599       6,675       X        28-5284     6675
                                                             167,276       5,252       X    X   28-5284     5252
                                                              66,407       2,085       X    X   28-1500     2085
               COLUMN TOTAL                               11,915,766






                                                                                                                   FILE NO. 28-1235
 PAGE    85 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HEADWATERS INC                 COM            42210P102       98,917       3,870       X        28-5284     3870
                                                              23,004         900       X    X   28-5284      900

HEALTH CARE REIT INC           COM            42217K106      286,590       8,200       X        28-5284     8200
                                                              76,890       2,200       X    X   28-5284     2200
                                                               8,738         250       X    X   28-1500      250

HEALTHEXTRAS INC               COM            422211102       95,646       3,165       X    X   28-5284                         3165

HEALTHTRONICS INC              COM            42222L107      100,521      13,140       X        28-1500    13140

HEARST-ARGYLE TELEVISION INC   COM            422317107       28,678       1,300       X        28-5284     1300

HEARTLAND EXPRESS INC          COM            422347104       10,060         562       X        28-4580      562

HEINZ H J CO                   COM            423074103   24,395,604     591,839       X        28-5284   589151                2688
                                                          26,451,863     641,724       X    X   28-5284   620366      1200     20158
                                                             190,024       4,610       X    X   28-1500     4610
                                                             820,278      19,900       X       28-11439    19900
                                                           1,100,368      26,695       X        28-4580    26695
                                                           3,739,437      90,719       X    X   28-4580    90719

HELIX ENERGY SOLUTIONS GRP I   COM            42330P107    1,368,204      33,900       X    X   28-5284    33900

HELMERICH & PAYNE INC          COM            423452101       91,053       1,511       X        28-5284     1511
                                                              24,104         400       X    X   28-5284      400

HENRY JACK & ASSOC INC         COM            426281101      317,568      16,153       X        28-5284    16153
                                                              11,796         600       X    X   28-5284                          600

HERCULES INC                   COM            427056106       16,786       1,100       X        28-5284     1100
                                                              13,734         900       X        28-4580      900
                                                             112,069       7,344       X    X   28-4580     7344

HERITAGE PPTY INVT TR INC      COM            42725M107       17,460         500       X        28-5284      500

HERSHEY CO                     COM            427866108   27,097,964     492,064       X        28-5284   482750                9314
                                                          19,601,836     355,944       X    X   28-5284   349434       675      5835
                                                             140,429       2,550       X        28-4580     2550
                                                              60,577       1,100       X    X   28-4580     1100

HESS CORP                      COM            42809H107    1,021,591      19,330       X        28-5284    19330
                                                             267,632       5,064       X    X   28-5284     5064
               COLUMN TOTAL                              107,589,421






                                                                                                                   FILE NO. 28-1235
 PAGE    86 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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   59,510,880   1,878,500       X        28-5284  1792797      1400     84303
                                                          47,164,582   1,488,781       X    X   28-5284  1410716     17121     60944
                                                              64,025       2,021       X        28-1500               2021
                                                             179,594       5,669       X       28-11439     5669
                                                           1,612,860      50,911       X        28-4580    50163                 748
                                                           1,389,263      43,853       X    X   28-4580    43853

HEXCEL CORP NEW                COM            428291108        3,142         200       X    X   28-1500      200

HIGHWOODS PPTYS INC            COM            431284108      274,968       7,600       X        28-5284     7600
                                                              28,944         800       X    X   28-5284      800

HILB ROGAL & HOBBS CO          COM            431294107       11,106         298       X        28-5284      298
                                                           2,782,876      74,668       X    X   28-5284    35205               39463

HILLENBRAND INDS INC           COM            431573104    8,476,297     174,769       X        28-5284    30089              144680

HILTON HOTELS CORP             COM            432848109      176,665       6,247       X        28-5284     6247
                                                             386,644      13,672       X    X   28-5284    12600                1072

HINES HORTICULTURE INC         COM            433245107       72,000      20,000       X    X   28-5284                        20000

HITACHI LIMITED                ADR 10 COM     433578507       20,416         309       X        28-5284      309
                                                              52,856         800       X    X   28-5284                          800

HOLLY CORP                     COM PAR $0.01  435758305    1,349,600      28,000       X    X   28-5284    28000

HOLLIS-EDEN PHARMACEUTICALS    COM            435902101        2,395         500       X        28-5284                          500

HOLOGIC INC                    COM            436440101       19,744         400       X        28-5284      400

HOME DEPOT INC                 COM            437076102   90,238,043   2,521,320       X        28-5284  2395562       100    125658
                                                          40,744,660   1,138,437       X    X   28-5284  1095221      6670     36546
                                                             858,602      23,990       X        28-1500    11960     12030
                                                             945,285      26,412       X        28-4580    26412
                                                             124,836       3,488       X    X   28-4580     3488

HOME PROPERTIES INC            COM            437306103       63,837       1,150       X        28-5284     1150

HOMEBANC CORP GA               COM            43738R109       38,136       4,803       X        28-5284     4803

HONDA MOTOR LTD                AMERN SHS      438128308       24,279         763       X        28-5284      763
                                                             547,845      17,217       X    X   28-5284    14817                2400
               COLUMN TOTAL                              257,164,380






                                                                                                                   FILE NO. 28-1235
 PAGE    87 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HONEYWELL INTL INC             COM            438516106    8,475,251     210,304       X        28-5284   153194               57110
                                                           3,459,151      85,835       X    X   28-5284    80875                4960
                                                               6,247         155       X        28-1500      155
                                                             161,200       4,000       X    X   28-1500     4000
                                                             400,260       9,932       X    X   28-4580     9932

HOOKER FURNITURE CORP          COM            439038100       29,398       1,753       X        28-5284     1753

HOPFED BANCORP INC             COM            439734104       30,508       1,858       X        28-1500     1858

HORMEL FOODS CORP              COM            440452100      305,105       8,215       X        28-5284     8215
                                                             133,704       3,600       X    X   28-5284                         3600
                                                              55,710       1,500       X    X   28-4580     1500

HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102      222,411       5,064       X        28-5284     5064
                                                              47,214       1,075       X    X   28-5284     1075

HOSPIRA INC                    COM            441060100    1,680,156      39,128       X        28-5284    36460                2668
                                                           6,888,521     160,422       X    X   28-5284   156677       347      3398
                                                             137,408       3,200       X    X   28-1500     3200
                                                              12,882         300       X        28-4580      300
                                                              13,311         310       X    X   28-4580      310

HOST HOTELS & RESORTS INC      COM            44107P104       98,918       4,523       X        28-5284     4523
                                                             642,453      29,376       X    X   28-5284    22876                6500

HOT TOPIC INC                  COM            441339108        7,781         676       X        28-5284      676

HOUSTON EXPL CO                COM            442120101       85,666       1,400       X    X   28-5284     1400

HOVNANIAN ENTERPRISES INC      CL A           442487203       48,730       1,620       X    X   28-5284     1620

HUANENG PWR INTL INC           SPON ADR H SHS 443304100       21,176         800       X    X   28-5284      800

HUBBELL INC                    CL A           443510102      160,586       3,684       X        28-5284     3684
                                                             154,745       3,550       X    X   28-5284     1000                2550

HUBBELL INC                    CL B           443510201      754,204      15,828       X        28-5284     5828               10000
                                                             231,245       4,853       X    X   28-5284     3999                 854
                                                             128,655       2,700       X    X   28-1500     2700

HUDSON CITY BANCORP            COM            443683107       13,330       1,000       X        28-5284     1000
                                                             174,703      13,106       X    X   28-5284     3206                9900
               COLUMN TOTAL                               24,580,629






                                                                                                                   FILE NO. 28-1235
 PAGE    88 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
HUGOTON RTY TR TEX             UNIT BEN INT   444717102       63,320       2,132       X        28-5284     2132
                                                              36,531       1,230       X    X   28-5284     1230
                                                                 149           5       X    X   28-4580        5

HUMANA INC                     COM            444859102      945,550      17,608       X        28-5284    17333                 275
                                                             159,704       2,974       X    X   28-5284     2974
                                                              61,487       1,145       X        28-1500               1145

HUMAN GENOME SCIENCES INC      COM            444903108        2,140         200       X        28-5284      200
                                                              32,100       3,000       X    X   28-5284     3000

HUNT J B TRANS SVCS INC        COM            445658107       96,900       3,890       X        28-5284     3890
                                                                 349          14       X    X   28-5284       14

HUNTINGTON BANCSHARES INC      COM            446150104    1,890,975      80,194       X        28-5284    78595                1599
                                                             336,487      14,270       X    X   28-5284    12100                2170
                                                               5,919         251       X        28-1500      251
                                                              30,913       1,311       X        28-4580     1311
                                                             432,245      18,331       X    X   28-4580    18331

HUNTSMAN CORP                  COM            447011107        8,660         500       X        28-5284      500
                                                              17,320       1,000       X    X   28-5284     1000

HURON CONSULTING GROUP INC     COM            447462102    1,090,246      31,070       X    X   28-5284    31070

HUTTIG BLDG PRODS INC          COM            448451104        4,917         607       X        28-5284      607

HYDRIL                         COM            448774109    1,442,412      18,370       X    X   28-5284    18370

HYDROGENICS CORP               COM            448882100        2,805       1,145       X        28-5284     1145

HYPERION SOLUTIONS CORP        COM            44914M104        1,435          52       X        28-5284       52
                                                                 414          15       X    X   28-5284       15

HYPERION TOTAL RETURN & INCO   COM            449145101       17,260       2,000       X        28-5284     2000

HYTHIAM INC                    COM            44919F104        3,485         500       X        28-5284                          500

IAC INTERACTIVECORP            COM NEW        44919P300       18,543         700       X        28-5284      700
                                                              91,391       3,450       X    X   28-5284     3450
                                                             105,960       4,000       X    X   28-1500     4000

ICT GROUP INC                  COM            44929Y101       36,795       1,500       X        28-5284     1500
               COLUMN TOTAL                                6,936,412






                                                                                                                   FILE NO. 28-1235
 PAGE    89 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ICOS CORP                      COM            449295104       57,174       2,600       X    X   28-5284     2600
                                                              32,985       1,500       X    X   28-1500     1500

IHOP CORP                      COM            449623107      141,836       2,950       X    X   28-5284                         2950

ING PRIME RATE TR              SH BEN INT     44977W106        5,888         840       X        28-5284      840

ING CLARION REAL EST INCOME    COM SHS        449788108       16,640       1,000       X        28-5284     1000
                                                              26,624       1,600       X    X   28-5284     1600

ING CLARION GLB RE EST INCM    COM            44982G104       30,379       1,700       X    X   28-5284     1700

IMS HEALTH INC                 COM            449934108      485,663      18,088       X        28-5284    15688                2400
                                                             403,878      15,042       X    X   28-5284    14774                 268
                                                             175,921       6,552       X    X   28-4580     6552

ISTAR FINL INC                 COM            45031U101      151,000       4,000       X        28-5284     4000
                                                             510,003      13,510       X    X   28-5284     7100                6410

ITT EDUCATIONAL SERVICES INC   COM            45068B109        6,581         100       X    X   28-5284      100

ITT INDS INC IND               COM            450911102   35,883,095     724,911       X        28-5284   706096       600     18215
                                                          17,041,365     344,270       X    X   28-5284   321948      2870     19452
                                                              19,800         400       X    X   28-1500      400
                                                             730,521      14,758       X        28-4580    14344                 414
                                                             327,987       6,626       X    X   28-4580     6626

ICICI BK LTD                   ADR            45104G104       23,650       1,000       X        28-5284     1000
                                                              59,125       2,500       X    X   28-5284     2500

IDACORP INC                    COM            451107106       27,946         815       X        28-5284      815
                                                               5,726         167       X    X   28-5284       67                 100

IDEX CORP                      COM            45167R104       51,920       1,100       X    X   28-5284                         1100

IGATE CORP                     COM            45169U105       11,502       1,800       X        28-5284     1800

IKON OFFICE SOLUTIONS INC      COM            451713101        6,111         485       X        28-5284      485

IDENTIX INC                    COM            451906101        5,312         760       X    X   28-5284      760
                                                             107,478      15,376       X        28-1500    15376
               COLUMN TOTAL                               56,346,110






                                                                                                                   FILE NO. 28-1235
 PAGE    90 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ILLINOIS TOOL WKS INC          COM            452308109   27,634,408     581,777       X        28-5284   578737                3040
                                                          24,025,690     505,804       X    X   28-5284   450344     36150     19310
                                                              41,135         866       X    X   28-1500      866
                                                             754,300      15,880       X        28-4580    15880
                                                           1,304,540      27,464       X    X   28-4580    26614       850

IMATION CORP                   COM            45245A107       24,671         601       X        28-5284      519                  82
                                                             113,134       2,756       X    X   28-5284     2756
                                                              24,589         599       X    X   28-4580      599

IMAX CORP                      COM            45245E109       82,440       9,000       X    X   28-5284     9000
                                                             327,223      35,723       X        28-1500    35723

IMCLONE SYS INC                COM            45245W109       13,794         357       X        28-5284      357

IMPERIAL CHEM INDS PLC         ADR NEW        452704505          294          11       X    X   28-5284       11

IMPERIAL OIL LTD               COM NEW        453038408       85,981       2,355       X        28-5284     2355
                                                           1,628,784      44,612       X    X   28-5284    37712                6900

IMPERIAL TOBACCO GROUP PLC     SPONSORED ADR  453142101       55,689         902       X        28-5284      902
                                                              23,955         388       X    X   28-5284       13                 375

INCO LTD                       DBCV  1.000% 3 453258AT2      631,125       3,000       X        28-5284     3000

INCO LTD                       COM            453258402       93,908       1,425       X        28-5284     1425
                                                             118,620       1,800       X    X   28-5284     1800

INDEPENDENT BANK CORP MASS     COM            453836108       12,988         400       X        28-5284      400

INDIA FD INC                   COM            454089103       71,595       1,550       X        28-5284     1550
                                                           1,505,794      32,600       X    X   28-5284    32250       350

INDONESIA FD INC               COM            455778100        4,925         500       X        28-5284      500

INDYMAC BANCORP INC            COM            456607100       98,715       2,153       X        28-5284     2153
                                                             596,050      13,000       X    X   28-5284    13000

INERGY L P                     UNIT LTD PTNR  456615103        2,576         100       X        28-5284      100

INFORMATICA CORP               COM            45666Q102      899,486      68,350       X    X   28-5284    68350
               COLUMN TOTAL                               60,176,409






                                                                                                                   FILE NO. 28-1235
 PAGE    91 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INFOSYS TECHNOLOGIES LTD       SPONSORED ADR  456788108       47,374         620       X        28-5284      620
                                                              38,511         504       X    X   28-5284        4                 500

ING GROEP N V                  SPONSORED ADR  456837103      116,623       2,966       X        28-5284     2966
                                                              79,741       2,028       X    X   28-5284     2028

ING GLOBAL EQTY DIV & PREM O   COM            45684E107      189,500      10,000       X        28-5284    10000

INGRAM MICRO INC               CL A           457153104          417          23       X    X   28-5284       23

INLAND REAL ESTATE CORP        COM NEW        457461200       14,880       1,000       X    X   28-5284     1000

INNKEEPERS USA TR              COM            4576J0104        2,074         120       X    X   28-1500      120

INPUT/OUTPUT INC               COM            457652105       66,150       7,000       X        28-5284     7000

INSMED INC                     COM NEW        457669208        5,373       3,358       X    X   28-5284     3358

INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105    4,714,543     335,316       X    X   28-5284   335316

INSPIRE PHARMACEUTICALS INC    COM            457733103       75,609      16,260       X    X   28-5284    16260

INSTEEL INDUSTRIES INC         COM            45774W108        9,680         400       X    X   28-5284      400
                                                               3,872         160       X        28-1500      160

INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208      450,196      11,600       X        28-5284    11600
                                                              11,643         300       X    X   28-5284      300

INSURED MUN INCOME FD          COM            45809F104       18,705       1,500       X    X   28-5284               1500

INTEGRAL SYS INC MD            COM            45810H107       26,830       1,000       X        28-5284     1000
                                                              26,830       1,000       X    X   28-5284     1000

INTEGRA BK CORP                COM            45814P105       43,500       2,000       X    X   28-5284     2000
                                                              45,284       2,082       X        28-1500     2082

INTEL CORP                     COM            458140100   91,464,898   4,813,942       X        28-5284  4685566      1100    127276
                                                          97,517,538   5,132,502       X    X   28-5284  4885390     73144    173968
                                                             377,169      19,851       X        28-1500              19851
                                                           1,942,066     102,214       X        28-4580    99608                2606
                                                           1,796,393      94,547       X    X   28-4580    94247       300

INTERCONTINENTALEXCHANGE INC   COM            45865V100        8,691         150       X    X   28-5284      150
               COLUMN TOTAL                              199,094,090






                                                                                                                   FILE NO. 28-1235
 PAGE    92 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INTERDIGITAL COMMUNICATIONS    COM            45866A105        6,982         200       X        28-5284                          200
                                                             221,085       6,333       X    X   28-5284     6333
                                                               9,565         274       X    X   28-1500      274

INTERLEUKIN GENETICS INC       COM            458738101        5,750       1,000       X        28-5284     1000
                                                              86,250      15,000       X    X   28-1500    15000

INTERMAGNETICS GEN CORP        COM            458771102        8,094         300       X        28-5284      300
                                                              28,599       1,060       X    X   28-5284     1060

INTERMEC INC                   COM            458786100       11,470         500       X        28-5284      500
                                                              18,352         800       X    X   28-5284      800

INTERMUNE INC                  COM            45884X103       16,450       1,000       X        28-4580     1000

INTERNAP NETWORK SVCS CORP     COM            45885A102          263         250       X    X   28-5284      250

INTERNATIONAL BUSINESS MACHS   COM            459200101  103,602,755   1,348,643       X        28-5284  1314716               33927
                                                         155,352,625   2,022,294       X    X   28-5284  1312508      9275    700511
                                                             365,125       4,753       X        28-1500               4753
                                                           2,448,791      31,877       X        28-4580    31877
                                                           6,111,492      79,556       X    X   28-4580    79556

INTERNATIONAL COAL GRP INC N   COM            45928H106       71,900      10,000       X        28-5284    10000
                                                             330,740      46,000       X    X   28-5284    46000

INTERNATIONAL FLAVORS&FRAGRA   COM            459506101      124,926       3,545       X        28-5284     3545
                                                             193,820       5,500       X    X   28-5284     3600                1900

INTERNATIONAL GAME TECHNOLOG   DBCV         1 459902AM4      321,000       4,000       X        28-5284     4000

INTERNATIONAL GAME TECHNOLOG   COM            459902102    2,977,190      78,471       X        28-5284    75471                3000
                                                             186,551       4,917       X    X   28-5284      700                4217
                                                              37,599         991       X        28-1500      991
                                                              75,880       2,000       X    X   28-1500     2000
                                                               7,588         200       X       28-11439      200
                                                               1,669          44       X    X   28-4580       10                  34

INTL PAPER CO                  COM            460146103    4,941,286     152,981       X        28-5284   151781                1200
                                                           3,489,498     108,034       X    X   28-5284   105236                2798
                                                              91,086       2,820       X        28-4580     2720                 100
                                                             194,866       6,033       X    X   28-4580     6033
               COLUMN TOTAL                              281,339,247






                                                                                                                   FILE NO. 28-1235
 PAGE    93 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
INTERNATIONAL RECTIFIER CORP   COM            460254105      117,240       3,000       X        28-5284     3000

INTERNATIONAL SHIPHOLDING CO   COM NEW        460321201       40,585       3,031       X        28-5284     3031

INTERNATIONAL SPEEDWAY CORP    CL A           460335201        2,319          50       X        28-5284       50
                                                              32,459         700       X    X   28-5284      700

INTERNET CAP GROUP INC         COM NEW        46059C205      613,980      68,220       X        28-5284    68220
                                                                  90          10       X    X   28-5284       10

INTERNET SEC SYS INC           COM            46060X107       24,505       1,300       X        28-5284     1300

INTERSIL CORP                  CL A           46069S109        5,580         240       X        28-5284      240

INTERPUBLIC GROUP COS INC      COM            460690100       91,758      10,989       X        28-5284    10902                  87
                                                              67,393       8,071       X    X   28-5284     4371                3700

INTERSTATE HOTELS & RESRTS I   COM            46088S106      524,021      56,407       X        28-5284    56407

INTRAWEST CORPORATION          COM NEW        460915200      152,450       4,785       X    X   28-5284                         4785

INTERVEST BANCSHARES CORP      CL A           460927106       18,428         455       X        28-5284      455
                                                              81,000       2,000       X    X   28-5284               2000

INTUITIVE SURGICAL INC         COM NEW        46120E602    2,027,105      17,627       X        28-5284    12027                5600
                                                             964,160       8,384       X    X   28-5284     8364        20

INTUIT                         COM            461202103      205,594       3,396       X    X   28-5284     3396

INVACARE CORP                  COM            461203101       14,406         579       X        28-5284      579

INVESTMENT TECHNOLOGY GRP NE   COM            46145F105        7,629         150       X    X   28-5284      150

INVESTORS BANCORP INC          COM            46146P102        2,710         200       X    X   28-5284      200

INVITROGEN CORP                COM            46185R100        5,220          79       X        28-5284       79
                                                               9,250         140       X    X   28-5284      140

INVESTORS FINL SERVICES CORP   COM            461915100      152,660       3,400       X    X   28-5284      800      2600

IOWA TELECOMM SERVICES INC     COM            462594201       56,760       3,000       X    X   28-5284     3000

IRELAND BK                     SPONSORED ADR  46267Q103        2,156          30       X        28-5284       30
               COLUMN TOTAL                                5,219,458






                                                                                                                   FILE NO. 28-1235
 PAGE    94 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
IRON MTN INC                   COM            462846106      299,975       8,025       X        28-5284     8025
                                                              93,450       2,500       X    X   28-5284     2500

IRWIN FINL CORP                COM            464119106      139,608       7,200       X        28-5284     7200
                                                               6,612         341       X    X   28-1500      341

ISHARES SILVER TRUST           ISHARES        46428Q109        5,124          46       X    X   28-4580       11                  35

ISHARES COMEX GOLD TR          ISHARES        464285105      338,051       5,521       X        28-5284     5521
                                                             300,027       4,900       X    X   28-5284     4900

ISHARES INC                    MSCI AUSTRALIA 464286103       24,319       1,172       X        28-5284     1172
                                                             303,158      14,610       X    X   28-5284    14610

ISHARES INC                    MSCI AUSTRIA   464286202      123,158       3,987       X    X   28-5284     3987
                                                              42,814       1,386       X    X   28-1500     1386

ISHARES INC                    MSCI BRAZIL    464286400        6,337         162       X    X   28-4580       37                 125

ISHARES INC                    MSCI CDA INDEX 464286509       41,563       1,750       X        28-5284     1750
                                                             315,875      13,300       X    X   28-5284    13300
                                                              41,420       1,744       X    X   28-1500     1744

ISHARES INC                    MSCI EMU INDEX 464286608    6,484,738      73,640       X        28-5284    73640
                                                             114,478       1,300       X    X   28-5284      900       400
                                                           1,511,902      17,169       X        28-4580    16669                 500
                                                           1,733,021      19,680       X    X   28-4580    19480                 200

ISHARES INC                    MSCI PAC J IDX 464286665   35,735,407     333,042       X        28-5284   328001                5041
                                                           5,975,752      55,692       X    X   28-5284    54461       163      1068
                                                           2,016,060      18,789       X        28-4580    18389                 400
                                                           3,469,438      32,334       X    X   28-4580    31034                1300

ISHARES INC                    MSCI SINGAPORE 464286673       71,280       8,100       X        28-5284     8100
                                                              10,938       1,243       X    X   28-5284     1243
                                                              60,438       6,868       X    X   28-4580     6868

ISHARES INC                    MSCI FRANCE    464286707       13,478         450       X        28-5284      450

ISHARES INC                    MSCI TAIWAN    464286731       44,229       3,450       X        28-5284     3450
                                                               8,654         675       X    X   28-5284      675
               COLUMN TOTAL                               59,331,304






                                                                                                                   FILE NO. 28-1235
 PAGE    95 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 SWITZERLD 464286749       21,270       1,000       X        28-5284     1000
                                                             313,201      14,725       X    X   28-5284    14725

ISHARES INC                    MSCI S KOREA   464286772       45,120       1,000       X        28-5284     1000
                                                               6,497         144       X    X   28-4580       33                 111

ISHARES INC                    MSCI STH AFRCA 464286780       14,700         150       X        28-5284      150

ISHARES INC                    MSCI MEXICO    464286822        7,430         200       X    X   28-5284      200
                                                              45,323       1,220       X    X   28-1500     1220

ISHARES INC                    MSCI MALAYSIA  464286830       29,525       4,050       X        28-5284     4050
                                                              18,225       2,500       X    X   28-1500     2500

ISHARES INC                    MSCI JAPAN     464286848   24,572,842   1,801,528       X        28-5284  1799317                2211
                                                           7,452,814     546,394       X    X   28-5284   544994                1400
                                                           1,924,959     141,126       X        28-4580   138126                3000
                                                           4,055,813     297,347       X    X   28-4580   287209               10138

ISHARES INC                    MSCI HONG KONG 464286871       15,210       1,125       X        28-5284     1125
                                                              20,280       1,500       X    X   28-5284     1500
                                                               2,474         183       X    X   28-4580                          183

ISHARES TR                     S&P 100 IDX FD 464287101    1,617,923      27,852       X        28-5284    26024                1828
                                                           1,582,662      27,245       X    X   28-5284    25344      1901
                                                             131,574       2,265       X        28-4580     2265
                                                              12,780         220       X    X   28-4580      220

ISHARES TR                     DJ SEL DIV INX 464287168   23,172,974     367,475       X        28-5284   363914                3561
                                                          16,524,684     262,047       X    X   28-5284   256008      2450      3589
                                                           2,358,381      37,399       X        28-4580    34999                2400
                                                           1,973,526      31,296       X    X   28-4580    30895                 401

ISHARES TR                     US TIPS BD FD  464287176    6,193,652      62,204       X        28-5284    62204
                                                           2,360,606      23,708       X    X   28-5284    23708
                                                             169,269       1,700       X        28-4580     1200                 500
                                                              99,570       1,000       X    X   28-4580     1000

ISHARES TR                     FTSE XNHUA IDX 464287184      578,842       7,537       X        28-5284     7537
                                                             324,480       4,225       X    X   28-5284     4225
                                                               5,760          75       X    X   28-4580       31                  44

ISHARES TR                     TRANSP AVE IDX 464287192       44,260         500       X        28-5284      500
               COLUMN TOTAL                               95,696,626






                                                                                                                   FILE NO. 28-1235
 PAGE    96 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ISHARES TR                     S&P 500 INDEX  464287200  170,420,831   1,336,110       X        28-5284  1312083      5039     18988
                                                          48,996,802     384,138       X    X   28-5284   339328     36354      8456
                                                           4,420,373      34,656       X    X   28-1500    34656
                                                           2,937,221      23,028       X        28-4580    23028
                                                           1,262,745       9,900       X    X   28-4580     9900

ISHARES TR                     LEHMAN AGG BND 464287226   16,828,375     172,705       X        28-5284   172705
                                                           2,933,626      30,107       X    X   28-5284    30107
                                                              12,667         130       X    X   28-1500      130
                                                              29,232         300       X        28-4580      300
                                                              65,285         670       X    X   28-4580      224                 446

ISHARES TR                     MSCI EMERG MKT 464287234   41,199,752     438,762       X        28-5284   430145                8617
                                                          19,334,292     205,903       X    X   28-5284   200310       384      5209
                                                             300,856       3,204       X        28-4580     3204
                                                             819,184       8,724       X    X   28-4580     8350                 374

ISHARES TR                     GS CORP BD FD  464287242    8,809,953      85,145       X        28-5284    83845                1300
                                                           2,102,200      20,317       X    X   28-5284    18816                1501

ISHARES TR                     S&P GBL INF    464287291       69,605       1,360       X    X   28-5284     1360
                                                               6,551         128       X    X   28-4580      128

ISHARES TR                     S&P500 GRW     464287309   11,455,744     196,160       X        28-5284   195684                 476
                                                           3,003,804      51,435       X    X   28-5284    50796                 639
                                                             207,729       3,557       X        28-4580     3557
                                                              16,118         276       X    X   28-4580      276

ISHARES TR                     S&P GBL HLTHCR 464287325       21,256         400       X        28-5284      400
                                                              42,512         800       X        28-4580      800
                                                             903,380      17,000       X    X   28-4580    17000

ISHARES TR                     S&P GBL ENER   464287341       57,159         540       X        28-5284      540
                                                             152,106       1,437       X    X   28-5284     1437

ISHARES TR                     GS NAT RES IDX 464287374   14,749,184     148,233       X        28-5284   148233
                                                             205,269       2,063       X    X   28-5284     2063
                                                           3,614,736      36,329       X        28-4580    34329                2000
                                                           6,679,137      67,127       X    X   28-4580    66127                1000

ISHARES TR                     S&P LTN AM 40  464287390      733,640       5,366       X        28-5284     5366
                                                             367,367       2,687       X    X   28-5284     2687
                                                              33,496         245       X    X   28-4580      210                  35
               COLUMN TOTAL                              362,792,187






                                                                                                                   FILE NO. 28-1235
 PAGE    97 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ISHARES TR                     S&P 500 VALUE  464287408   21,872,248     318,327       X        28-5284   318327
                                                           2,236,373      32,548       X    X   28-5284    31898       650
                                                             352,001       5,123       X        28-4580     5123
                                                             163,324       2,377       X    X   28-4580      277                2100

ISHARES TR                     20+ YR TRS BD  464287432      837,719       9,935       X        28-5284     9935
                                                             251,780       2,986       X    X   28-5284     2986

ISHARES TR                     7-10 YR TRS BD 464287440    4,853,738      60,430       X        28-5284    60430
                                                             814,525      10,141       X    X   28-5284    10141

ISHARES TR                     1-3 YR TRS BD  464287457   10,028,987     125,850       X        28-5284   125850
                                                           2,074,012      26,026       X    X   28-5284    26026
                                                              91,644       1,150       X    X   28-1500     1150
                                                              69,649         874       X        28-4580      874
                                                              21,835         274       X    X   28-4580      274

ISHARES TR                     MSCI EAFE IDX  464287465  247,305,895   3,782,014       X        28-5284  3754067      5283     22664
                                                         117,214,975   1,792,552       X    X   28-5284  1732877     29977     29698
                                                              21,579         330       X    X   28-1500      330
                                                           2,260,271      34,566       X        28-4580    34566
                                                           2,874,741      43,963       X    X   28-4580    43577                 386

ISHARES TR                     RUSSELL MCP VL 464287473   15,965,343     120,794       X        28-5284   117651                3143
                                                           5,089,602      38,508       X    X   28-5284    37675        23       810
                                                             705,391       5,337       X        28-4580     5337
                                                             172,746       1,307       X    X   28-4580     1307

ISHARES TR                     RUSSELL MCP GR 464287481   11,477,212     119,654       X        28-5284   114889                4765
                                                           4,022,693      41,938       X    X   28-5284    40047                1891
                                                             234,141       2,441       X        28-4580     2441
                                                              50,646         528       X    X   28-4580      528

ISHARES TR                     RUSSELL MIDCAP 464287499   21,807,782     237,687       X        28-5284   232987                4700
                                                           7,246,966      78,986       X    X   28-5284    68167     10094       725
                                                              62,207         678       X        28-4580      678
                                                             136,708       1,490       X    X   28-4580     1490

ISHARES TR                     S&P MIDCAP 400 464287507   14,195,502     185,805       X        28-5284   181552                4253
                                                           8,199,401     107,322       X    X   28-5284    97532      6840      2950
                                                              29,108         381       X        28-4580      381
                                                               6,112          80       X    X   28-4580       80
               COLUMN TOTAL                              502,746,856






                                                                                                                   FILE NO. 28-1235
 PAGE    98 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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                     GLMN SCHS SOFT 464287515        9,425         250       X        28-5284      250
                                                              18,850         500       X    X   28-5284      500

ISHARES TR                     GLDM SCHS SEMI 464287523      653,444      11,276       X        28-5284    11276
                                                              80,261       1,385       X    X   28-5284      635                 750
                                                              15,647         270       X        28-4580      270

ISHARES TR                     GLDM SCHS NETW 464287531       15,000         500       X        28-5284      500

ISHARES TR                     GLDM SACHS TEC 464287549        9,999         223       X        28-5284      223
                                                             255,588       5,700       X    X   28-5284     5700

ISHARES TR                     NASDQ BIO INDX 464287556    4,563,161      62,767       X        28-5284    60767                2000
                                                           1,351,929      18,596       X    X   28-5284    17651       845       100
                                                             111,667       1,536       X        28-4580     1536
                                                              44,274         609       X    X   28-4580      609

ISHARES TR                     COHEN&ST RLTY  464287564   26,845,870     320,280       X        28-5284   319644       186       450
                                                          10,747,065     128,216       X    X   28-5284   122020      4560      1636
                                                             197,228       2,353       X        28-4580     2353
                                                              34,534         412       X    X   28-4580      412

ISHARES TR                     S&P GLB100INDX 464287572       34,286         518       X        28-5284      518
                                                              33,558         507       X    X   28-5284      507
                                                             225,046       3,400       X    X   28-4580     3400

ISHARES TR                     CONS SRVC IDX  464287580        9,765         161       X        28-5284      161
                                                              17,043         281       X    X   28-5284      281

ISHARES TR                     RUSSELL1000VAL 464287598   37,110,374     507,527       X        28-5284   497147               10380
                                                           9,429,775     128,963       X    X   28-5284   128338                 625
                                                             722,499       9,881       X        28-4580     9881
                                                             500,433       6,844       X    X   28-4580     6844

ISHARES TR                     S&P MC 400 GRW 464287606    9,165,969     119,473       X        28-5284   119105                 368
                                                           3,908,117      50,940       X    X   28-5284    48658                2282
                                                             141,702       1,847       X        28-4580     1847
                                                             237,218       3,092       X    X   28-4580     3092

ISHARES TR                     RUSSELL1000GRW 464287614   52,623,634   1,040,404       X        28-5284  1014387               26017
                                                          13,848,096     273,786       X    X   28-5284   271510       394      1882
                                                             142,787       2,823       X        28-4580     2823
                                                             482,179       9,533       X    X   28-4580     9533
               COLUMN TOTAL                              173,586,423






                                                                                                                   FILE NO. 28-1235
 PAGE    99 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ISHARES TR                     RUSSELL 1000   464287622   14,274,471     206,577       X        28-5284   206577
                                                           7,494,171     108,454       X    X   28-5284    28344     80110
                                                             400,158       5,791       X    X   28-4580     5791

ISHARES TR                     RUSL 2000 VALU 464287630   15,327,894     211,799       X        28-5284   211172                 627
                                                           5,952,143      82,246       X    X   28-5284    78925       900      2421
                                                             439,141       6,068       X        28-1500               6068
                                                             263,282       3,638       X        28-4580     3638
                                                             513,248       7,092       X    X   28-4580     7092

ISHARES TR                     RUSL 2000 GROW 464287648   13,325,231     181,271       X        28-5284   176271                5000
                                                           3,159,313      42,978       X    X   28-5284    38297      2190      2491
                                                             419,742       5,710       X    X   28-1500     5710
                                                              83,948       1,142       X        28-4580      642                 500
                                                              82,552       1,123       X    X   28-4580     1123

ISHARES TR                     RUSSELL 2000   464287655   48,032,201     669,625       X        28-5284   666290      1175      2160
                                                          26,614,054     371,031       X    X   28-5284   364042      3820      3169
                                                           2,654,010      37,000       X       28-11439    37000
                                                             148,266       2,067       X        28-4580     2067
                                                             961,756      13,408       X    X   28-4580    13408

ISHARES TR                     RUSL 3000 VALU 464287663      126,214       1,323       X        28-5284     1323

ISHARES TR                     RUSL 3000 GROW 464287671       68,169       1,657       X        28-5284     1657

ISHARES TR                     RUSSELL 3000   464287689    2,688,941      36,480       X        28-5284    36480
                                                           1,586,608      21,525       X    X   28-5284    21525
                                                              35,749         485       X        28-4580      485

ISHARES TR                     DJ US UTILS    464287697      463,312       5,861       X        28-5284     5861
                                                             593,112       7,503       X    X   28-5284     7503
                                                              15,810         200       X        28-4580      200

ISHARES TR                     S&P MIDCP VALU 464287705    9,737,494     130,652       X        28-5284   130113                 539
                                                           3,511,257      47,112       X    X   28-5284    44597       716      1799
                                                             190,648       2,558       X        28-4580     2558
                                                              97,038       1,302       X    X   28-4580     1302

ISHARES TR                     DJ US TELECOMM 464287713      986,602      38,464       X        28-5284    38301                 163
                                                             633,273      24,689       X    X   28-5284    24689
                                                              33,345       1,300       X        28-4580     1300
                                                               6,926         270       X    X   28-4580      270
               COLUMN TOTAL                              160,920,079






                                                                                                                   FILE NO. 28-1235
 PAGE   100 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 TECH SEC 464287721    2,151,884      45,341       X        28-5284    45341
                                                           2,165,647      45,631       X    X   28-5284    45631

ISHARES TR                     DJ US REAL EST 464287739      922,688      12,950       X        28-5284    12950
                                                             859,346      12,061       X    X   28-5284    11811       250
                                                              42,750         600       X        28-4580      600
                                                              49,875         700       X    X   28-4580      700

ISHARES TR                     DJ US INDUSTRL 464287754       49,680         800       X        28-5284      800

ISHARES TR                     DJ US HEALTHCR 464287762    2,384,329      39,443       X        28-5284    39443
                                                           1,409,331      23,314       X    X   28-5284    22414                 900
                                                             211,575       3,500       X       28-11439     3500
                                                               5,138          85       X        28-4580       85
                                                              12,090         200       X    X   28-4580      200

ISHARES TR                     DJ US FINL SVC 464287770    1,094,578       9,251       X        28-5284     9251
                                                             593,730       5,018       X    X   28-5284     5018

ISHARES TR                     DJ US FINL SEC 464287788      124,884       1,200       X        28-5284     1200
                                                             294,934       2,834       X    X   28-5284     2834
                                                             166,512       1,600       X       28-11439     1600

ISHARES TR                     DJ US ENERGY   464287796      810,906       8,418       X        28-5284     8418
                                                             383,201       3,978       X    X   28-5284     3878                 100
                                                             288,990       3,000       X    X   28-4580     3000
                                                             192,660       2,000       X       28-11439     2000

ISHARES TR                     S&P SMLCAP 600 464287804   14,886,612     239,720       X        28-5284   234060                5660
                                                           8,232,224     132,564       X    X   28-5284   122724      7590      2250
                                                             707,195      11,388       X    X   28-1500    11388
                                                             113,954       1,835       X        28-4580     1835
                                                              35,956         579       X    X   28-4580      579

ISHARES TR                     CONS GOODS IDX 464287812        5,132          96       X        28-5284       96
                                                              80,190       1,500       X    X   28-5284     1500

ISHARES TR                     DJ US BAS MATL 464287838      518,733       9,278       X        28-5284     9278
                                                             304,150       5,440       X    X   28-5284     5440

ISHARES TR                     DJ US TOTL MKT 464287846      172,803       2,784       X        28-5284     2784
                                                              53,877         868       X    X   28-5284      868
               COLUMN TOTAL                               39,325,554






                                                                                                                   FILE NO. 28-1235
 PAGE   101 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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    4,422,528      48,413       X        28-5284    48413
                                                             886,917       9,709       X    X   28-5284     9709
                                                             611,771       6,697       X        28-4580     6697
                                                           2,414,381      26,430       X    X   28-4580    26430

ISHARES TR                     S&P SMLCP VALU 464287879    4,562,032      65,688       X        28-5284    65688
                                                           2,035,788      29,313       X    X   28-5284    26962                2351
                                                             220,295       3,172       X        28-4580     3172
                                                              55,560         800       X    X   28-4580      800

ISHARES TR                     S&P SMLCP GROW 464287887    9,435,296      76,960       X        28-5284    74576                2384
                                                           2,838,067      23,149       X    X   28-5284    22523       147       479
                                                             116,102         947       X        28-4580      947
                                                               6,130          50       X    X   28-4580       50

ISHARES TR                     MID GRWTH INDX 464288307       16,084         200       X    X   28-5284      200

ISHARES TR                     KLD SL SOC INX 464288802    2,604,242      48,442       X        28-5284    48442
                                                              53,760       1,000       X    X   28-5284     1000

ISHARES TR                     RSSL MCRCP IDX 464288869        2,154          40       X    X   28-5284       40

ISHARES TR                     MSCI VAL IDX   464288877      222,391       3,552       X        28-5284     3552
                                                              75,195       1,201       X    X   28-5284     1201

ISHARES TR                     MSCI GRW IDX   464288885    1,130,384      18,291       X        28-5284    18291
                                                             581,291       9,406       X    X   28-5284     8626                 780
                                                              10,012         162       X        28-4580      162

ISIS PHARMACEUTICALS INC       COM            464330109        5,445         900       X    X   28-5284      900

ITERIS INC                     COM            46564T107       58,370      24,525       X    X   28-5284                        24525

JDS UNIPHASE CORP              COM            46612J101       57,342      22,665       X        28-5284    22665
                                                              37,667      14,888       X    X   28-5284    14888
                                                                 506         200       X    X   28-1500      200

JLG INDS INC                   COM            466210101      465,818      20,703       X    X   28-5284    16703                4000
                                                             962,010      42,756       X    X   28-1500    42756
               COLUMN TOTAL                               33,887,538






                                                                                                                   FILE NO. 28-1235
 PAGE   102 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
JP MORGAN CHASE & CO           COM            46625H100  120,813,546   2,876,513       X        28-5284  2746761       900    128852
                                                          73,155,810   1,741,805       X    X   28-5284  1604805     61647     75353
                                                          13,885,578     330,609       X        28-1500   299731     30878
                                                             646,800      15,400       X       28-11439    15400
                                                           1,234,254      29,387       X        28-4580    28619                 768
                                                           1,193,052      28,406       X    X   28-4580    27357      1049

J2 GLOBAL COMMUNICATIONS INC   COM NEW        46626E205        5,464         175       X        28-5284      175

JABIL CIRCUIT INC              COM            466313103       26,752       1,045       X        28-5284     1045
                                                               2,560         100       X    X   28-5284      100
                                                              46,464       1,815       X    X   28-1500     1815

JACOBS ENGR GROUP INC DEL      COM            469814107    3,150,479      39,559       X        28-5284    39559
                                                           4,204,753      52,797       X    X   28-5284    52567        30       200

JACUZZI BRANDS INC             COM            469865109        4,840         550       X        28-5284      550
                                                                 986         112       X    X   28-5284                          112

JAKKS PAC INC                  COM            47012E106       21,175       1,054       X        28-1500     1054

JANUS CAP GROUP INC            COM            47102X105       85,920       4,800       X        28-5284     4800
                                                                 233          13       X    X   28-5284       13

JAPAN EQUITY FD INC            COM            471057109       15,675       1,900       X    X   28-5284     1900

JAPAN SMALLER CAPTLZTN FD IN   COM            47109U104        4,206         300       X        28-5284      300
                                                               4,206         300       X    X   28-5284      300

JETBLUE AWYS CORP              COM            477143101       22,520       1,855       X        28-5284     1855

JOHNSON & JOHNSON              COM            478160104  303,298,922   5,061,731       X        28-5284  4919806       800    141125
                                                         228,714,580   3,816,999       X    X   28-5284  3717820     19635     79544
                                                           2,145,376      35,804       X        28-1500     3973     31831
                                                           6,751,426     112,674       X        28-4580   112184                 490
                                                           8,595,884     143,456       X    X   28-4580   141756                1700

JOHNSON CTLS INC               COM            478366107   20,233,109     246,085       X        28-5284   246085
                                                           8,143,809      99,049       X    X   28-5284    96884       200      1965
                                                              49,332         600       X    X   28-1500      600
                                                              13,649         166       X        28-4580      166
                                                              55,087         670       X    X   28-4580      670
               COLUMN TOTAL                              796,526,447






                                                                                                                   FILE NO. 28-1235
 PAGE   103 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 OUTDOORS INC           CL A           479167108       29,047       1,679       X        28-1500     1679

JONES APPAREL GROUP INC        COM            480074103      139,876       4,400       X    X   28-5284      900                3500
                                                             317,900      10,000       X       28-11439    10000

JONES SODA CO                  COM            48023P106          900         100       X    X   28-5284      100

JOS A BANK CLOTHIERS INC       COM            480838101       14,975         625       X        28-5284      625
                                                               2,396         100       X    X   28-5284      100

JOURNAL REGISTER CO            COM            481138105       43,904       4,900       X        28-5284     4900
                                                              25,088       2,800       X    X   28-5284                         2800

JOY GLOBAL INC                 COM            481165108       62,143       1,193       X        28-5284     1193
                                                           1,174,630      22,550       X    X   28-5284    22250                 300
                                                              15,627         300       X    X   28-1500      300

JUNIPER NETWORKS INC           COM            48203R104    1,461,134      91,378       X        28-5284    91378
                                                             485,376      30,355       X    X   28-5284    30155                 200
                                                             111,930       7,000       X       28-11439     7000
                                                              22,386       1,400       X        28-4580     1400

JUPITERMEDIA CORP              COM            48207D101          325          25       X        28-5284       25
                                                              74,100       5,700       X    X   28-5284     5700

KCS ENERGY INC                 COM            482434206        7,425         250       X        28-5284      250

KKR FINL CORP                  COM            482476306      638,867      30,700       X    X   28-5284    30700

KLA-TENCOR CORP                COM            482480100       90,207       2,170       X        28-5284     2170
                                                              16,503         397       X    X   28-5284      397
                                                              13,427         323       X    X   28-1500      323

K-SWISS INC                    CL A           482686102       10,680         400       X    X   28-1500      400

KADANT INC                     COM            48282T104       18,975         825       X        28-5284      825
                                                               8,050         350       X    X   28-5284      350

KNBT BANCORP INC               COM            482921103       41,383       2,505       X    X   28-5284     2505

KAMAN CORP                     COM            483548103        9,100         500       X    X   28-1500      500
               COLUMN TOTAL                                4,836,354






                                                                                                                   FILE NO. 28-1235
 PAGE   104 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KANSAS CITY SOUTHERN           COM NEW        485170302        2,770         100       X        28-5284      100
                                                             321,320      11,600       X    X   28-5284      600               11000

KAYNE ANDERSON ENRGY TTL RT    COM            48660P104       11,805         500       X        28-5284      500

KAYNE ANDERSON MLP INVSMNT C   COM            486606106      103,883       4,050       X    X   28-5284     4050

KEANE INC                      COM            486665102       96,250       7,700       X        28-5284     7700

KEITHLEY INSTRS INC            COM            487584104       22,036       1,731       X        28-5284     1731

KELLOGG CO                     COM            487836108    2,685,879      55,459       X        28-5284    48560                6899
                                                           1,394,881      28,802       X    X   28-5284    28255       300       247
                                                             479,457       9,900       X    X   28-1500     9900
                                                              77,488       1,600       X        28-4580     1600
                                                              96,860       2,000       X    X   28-4580      800                1200

KELLWOOD CO                    COM            488044108        2,927         100       X    X   28-5284      100

KENNAMETAL INC                 COM            489170100      120,143       1,930       X        28-5284     1930
                                                             713,696      11,465       X    X   28-5284    11465

KERR MCGEE CORP                COM            492386107    1,884,933      27,180       X        28-5284    27180
                                                           2,893,143      41,718       X    X   28-5284    41718
                                                               7,906         114       X    X   28-1500      114

KEWAUNEE SCIENTIFIC CORP       COM            492854104        7,735         872       X        28-1500      872

KEYCORP NEW                    COM            493267108      733,188      20,549       X        28-5284    19079                1470
                                                             938,170      26,294       X    X   28-5284    23894                2400
                                                          12,859,072     360,400       X        28-1500   360400

KEYNOTE SYS INC                COM            493308100        6,186         600       X    X   28-5284      600

KEYSPAN CORP                   COM            49337W100      251,692       6,230       X        28-5284     6230
                                                             912,515      22,587       X    X   28-5284    21707                 880
                                                              21,331         528       X        28-4580      528

KIMBALL INTL INC               CL B           494274103        1,222          62       X        28-1500       62
               COLUMN TOTAL                               26,646,488






                                                                                                                   FILE NO. 28-1235
 PAGE   105 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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   46,104,955     747,244       X        28-5284   742600        50      4594
                                                          20,223,286     327,768       X    X   28-5284   302233     10400     15135
                                                             713,067      11,557       X        28-1500              11557
                                                             109,147       1,769       X        28-4580     1769
                                                             491,749       7,970       X    X   28-4580     7970

KIMCO REALTY CORP              COM            49446R109      998,512      27,364       X        28-5284    26704                 660
                                                           1,694,742      46,444       X    X   28-5284    45044                1400

KINDER MORGAN INC KANS         COM            49455P101   31,596,106     316,309       X        28-5284   311869                4440
                                                          25,122,934     251,506       X    X   28-5284   242176      3835      5495
                                                             314,654       3,150       X        28-4580     3050                 100
                                                             349,615       3,500       X    X   28-4580     3500

KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106    1,732,186      37,689       X        28-5284    37689
                                                           3,921,031      85,314       X    X   28-5284    82914      2200       200
                                                             156,264       3,400       X        28-1500               3400

KINDRED HEALTHCARE INC         COM            494580103        5,200         200       X        28-5284      200
                                                              99,060       3,810       X    X   28-5284     3810

KING PHARMACEUTICALS INC       COM            495582108       11,900         700       X        28-5284      700
                                                               5,389         317       X    X   28-5284      317
                                                               8,585         505       X    X   28-1500      505

KINROSS GOLD CORP              COM NO PAR     496902404       45,738       4,200       X        28-5284     4200
                                                              10,258         942       X    X   28-5284      942

KIRBY CORP                     COM            497266106       44,240       1,120       X        28-5284     1120

KNAPE & VOGT MFG CO            COM            498782101      315,179      16,747       X        28-1500    16747

KNIGHT CAPITAL GROUP INC       CL A           499005106       35,029       2,300       X        28-5284     2300

KNIGHT TRANSN INC              COM            499064103        7,030         348       X        28-5284      348
                                                              54,540       2,700       X    X   28-5284     2700

KNOLOGY INC                    COM            499183804           47           5       X        28-5284        5
                                                           4,664,731     501,584       X                  501584

KOHLS CORP                     COM            500255104    8,160,097     138,026       X        28-5284   132426                5600
                                                           2,260,512      38,236       X    X   28-5284    37176                1060
                                                               5,912         100       X        28-1500                100
               COLUMN TOTAL                              149,261,695






                                                                                                                   FILE NO. 28-1235
 PAGE   106 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
KOMAG INC                      COM NEW        500453204      852,021      18,450       X    X   28-5284    18250                 200

KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303      128,453       4,125       X        28-5284     4125
                                                              22,763         731       X    X   28-5284       17                 714

KOOKMIN BK NEW                 SPONSORED ADR  50049M109       13,040         157       X        28-5284      157

KOPIN CORP                     COM            500600101        3,610       1,000       X    X   28-5284     1000

KOREA EQUITY FD INC            COM            50063B104        9,270         900       X        28-5284      900

KOREA ELECTRIC PWR             SPONSORED ADR  500631106       17,064         900       X        28-5284      900
                                                             113,760       6,000       X    X   28-5284     6000

KOREA FD                       COM            500634100      222,303       6,119       X        28-5284      200                5919

KORN FERRY INTL                COM NEW        500643200      134,054       6,843       X        28-5284     6843

KOS PHARMACEUTICALS INC        COM            500648100       33,858         900       X    X   28-5284      200                 700

KRAFT FOODS INC                CL A           50075N104      832,971      26,957       X        28-5284    26557                 400
                                                             883,431      28,590       X    X   28-5284    28390       200
                                                               9,270         300       X    X   28-4580      300

KRISPY KREME DOUGHNUTS INC     COM            501014104        1,709         210       X    X   28-5284      210
                                                               2,442         300       X    X   28-1500      300

KROGER CO                      COM            501044101    1,341,264      61,357       X        28-5284    61357
                                                             592,100      27,086       X    X   28-5284    27086
                                                              91,528       4,187       X    X   28-1500     4187

KRONOS WORLDWIDE INC           COM            50105F105        7,693         263       X        28-5284      263
                                                               1,024          35       X    X   28-5284       35

KUBOTA CORP                    ADR            501173207          810          17       X    X   28-5284       17

KULICKE & SOFFA INDS INC       COM            501242101        3,705         500       X    X   28-5284      500

KYOCERA CORP                   ADR            501556203       34,988         450       X    X   28-5284                          450

KYPHON INC                     COM            501577100       38,360       1,000       X    X   28-5284     1000

LCA-VISION INC                 COM PAR $.001  501803308       32,645         617       X        28-1500      617
               COLUMN TOTAL                                5,424,136






                                                                                                                   FILE NO. 28-1235
 PAGE   107 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LKQ CORP                       COM            501889208        5,111         269       X        28-1500      269

LL & E RTY TR                  UNIT BEN INT   502003106        3,510       1,300       X    X   28-5284     1300

LSB CORP                       COM            50215P100      294,950      17,000       X    X   28-5284    17000

LSI LOGIC CORP                 NOTE  4.000% 5 502161AJ1      203,250       2,000       X        28-5284     2000

LSI LOGIC CORP                 COM            502161102       71,860       8,029       X        28-5284     7729                 300
                                                              71,600       8,000       X    X   28-5284                         8000

LTC PPTYS INC                  COM            502175102      291,668      13,050       X        28-5284    13050
                                                               1,743          78       X    X   28-1500       78

L-3 COMMUNICATIONS HLDGS INC   COM            502424104    3,663,451      48,574       X        28-5284    34874               13700
                                                           1,331,012      17,648       X    X   28-5284    11818        30      5800
                                                              76,928       1,020       X    X   28-1500     1020

LABORATORY CORP AMER HLDGS     NOTE         9 50540RAC6      337,000       4,000       X        28-5284     4000

LABORATORY CORP AMER HLDGS     COM NEW        50540R409      115,872       1,862       X        28-5284     1862
                                                              56,629         910       X    X   28-5284      760                 150

LACLEDE GROUP INC              COM            505597104       75,592       2,200       X        28-5284     2200

LADENBURG THALMAN FIN SVCS I   COM            50575Q102       19,000      19,000       X        28-5284    19000
                                                                   4           4       X    X   28-5284        4

LAFARGE COPPEE S A             SPON ADR NEW   505861401       22,700         725       X        28-5284      725

LAKELAND BANCORP INC           COM            511637100      256,220      16,351       X        28-5284    16351

LAM RESEARCH CORP              COM            512807108    5,880,319     125,863       X        28-5284   125438                 425
                                                           3,095,994      66,267       X    X   28-5284    63357       600      2310
                                                             179,732       3,847       X        28-4580     3847
                                                              39,712         850       X    X   28-4580      850

LAMAR ADVERTISING CO           CL A           512815101       59,246       1,100       X    X   28-5284     1100

LANCASTER COLONY CORP          COM            513847103       98,675       2,500       X        28-5284     2500

LANCE INC                      COM            514606102       46,040       2,000       X    X   28-5284     2000
                                                               4,719         205       X        28-1500      205
               COLUMN TOTAL                               16,302,537






                                                                                                                   FILE NO. 28-1235
 PAGE   108 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LANDAUER INC                   COM            51476K103       22,321         466       X        28-5284      466
                                                              75,347       1,573       X    X   28-5284     1573
                                                              23,375         488       X        28-1500                488

LANDAMERICA FINL GROUP INC     COM            514936103       12,920         200       X        28-5284      200
                                                              19,638         304       X    X   28-5284      304

LANDSTAR SYS INC               COM            515098101       18,278         387       X        28-5284      387
                                                           1,124,074      23,800       X    X   28-5284    23800
                                                              74,151       1,570       X    X   28-1500     1570

LANTRONIX INC                  COM            516548104      140,148      64,288       X    X   28-5284                        64288

LANVISION SYS INC              COM            516555109       22,336       4,337       X    X   28-1500     4337

LAS VEGAS SANDS CORP           COM            517834107        3,037          39       X    X   28-4580        9                  30

LASERCARD CORP                 COM            51807U101       93,646       7,154       X    X   28-5284                         7154

LATIN AMER EQUITY FD INC NEW   COM            51827Q106        9,063         250       X        28-5284      250

LAUDER ESTEE COS INC           CL A           518439104      225,214       5,824       X        28-5284     5824
                                                              14,308         370       X    X   28-5284      370
                                                              19,335         500       X    X   28-1500      500

LAUREATE EDUCATION INC         COM            518613104        1,705          40       X        28-5284       40
                                                              42,630       1,000       X    X   28-5284     1000

LAWSON PRODS INC               COM            520776105       17,897         454       X        28-5284      454

LAYNE CHRISTENSEN CO           COM            521050104        5,670         200       X        28-5284      200

LEAPFROG ENTERPRISES INC       CL A           52186N106        5,050         500       X        28-5284      500

LEAR CORP                      COM            521865105        5,553         250       X        28-5284      250

LEE ENTERPRISES INC            COM            523768109      126,665       4,700       X        28-5284     3000                1700
                                                              60,638       2,250       X    X   28-5284                         2250

LEESPORT FINANCIAL CORP        COM            524477106       16,790         730       X        28-5284      730

LEGGETT & PLATT INC            COM            524660107      271,233      10,858       X        28-5284    10858
                                                              51,459       2,060       X    X   28-5284     1860                 200
               COLUMN TOTAL                                2,502,481






                                                                                                                   FILE NO. 28-1235
 PAGE   109 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LEGG MASON INC                 COM            524901105   13,513,821     135,790       X        28-5284   135280                 510
                                                           6,848,170      68,812       X    X   28-5284    57062      9750      2000
                                                             246,810       2,480       X        28-4580     2480
                                                              72,152         725       X    X   28-4580      725

LEHMAN BROS HLDGS INC          COM            524908100   21,850,072     335,381       X        28-5284   331681                3700
                                                          19,023,995     292,003       X    X   28-5284   286687                5316
                                                              32,575         500       X        28-1500                500
                                                              65,150       1,000       X       28-11439     1000
                                                              37,787         580       X        28-4580      580
                                                             202,617       3,110       X    X   28-4580     3110

LENNAR CORP                    CL A           526057104      282,326       6,363       X        28-5284     1463                4900
                                                              51,026       1,150       X    X   28-5284     1150

LENNOX INTL INC                COM            526107107       54,549       2,060       X        28-5284     2060

LEUCADIA NATL CORP             COM            527288104      444,797      15,238       X        28-5284    15238
                                                              58,380       2,000       X    X   28-5284     2000

LEVEL 3 COMMUNICATIONS INC     COM            52729N100      124,320      28,000       X        28-5284    28000
                                                              22,200       5,000       X    X   28-5284     5000

LEVITT CORP                    CL A           52742P108        5,600         350       X        28-5284      350

LEXINGTON CORP PPTYS TR        COM            529043101        6,113         283       X        28-5284      283
                                                             226,411      10,482       X    X   28-5284     2132                8350

LEXMARK INTL NEW               CL A           529771107      199,313       3,570       X        28-5284     3570
                                                              49,130         880       X    X   28-5284      880

LIBERTY ALL-STAR GROWTH FD I   COM            529900102       15,692       3,041       X    X   28-5284     3041

LIBERTY ALL STAR EQUITY FD     SH BEN INT     530158104        8,090       1,073       X        28-5284     1073
                                                              15,857       2,103       X    X   28-5284     2103

LIBERTY GLOBAL INC             COM SER A      530555101      758,520      35,280       X        28-5284     6764               28516
                                                             339,679      15,799       X    X   28-5284      257               15542

LIBERTY GLOBAL INC             COM SER C      530555309      945,870      45,983       X        28-5284     6764               39219
                                                             325,006      15,800       X    X   28-5284       74               15726
               COLUMN TOTAL                               65,826,028






                                                                                                                   FILE NO. 28-1235
 PAGE   110 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 MEDIA HLDG CORP        INT COM SER A  53071M104    1,739,618     100,789       X        28-5284    24689               76100
                                                             530,969      30,763       X    X   28-5284     2354               28409
                                                             187,754      10,878       X    X   28-1500    10878

LIBERTY MEDIA HLDG CORP        CAP COM SER A  53071M302    1,845,704      22,033       X        28-5284     4933               17100
                                                             495,164       5,911       X    X   28-5284      470                5441
                                                             182,116       2,174       X    X   28-1500     2174

LIBERTY MEDIA CORP NEW         DEB   0.750% 3 530718AF2      424,500       4,000       X        28-5284     4000

LIBERTY PPTY TR                SH BEN INT     531172104       22,100         500       X        28-5284      500
                                                             771,290      17,450       X    X   28-5284    15950      1500

LIFEPOINT HOSPITALS INC        COM            53219L109       19,824         617       X        28-5284      586                  31

LILLY ELI & CO                 COM            532457108   20,785,223     376,067       X        28-5284   365233               10834
                                                          24,160,286     437,132       X    X   28-5284   409613        60     27459
                                                              63,561       1,150       X        28-1500               1150
                                                             309,512       5,600       X        28-4580     5600
                                                             442,160       8,000       X    X   28-4580     8000

LIMITED BRANDS INC             COM            532716107      302,883      11,836       X        28-5284     3036                8800
                                                              25,257         987       X    X   28-5284      987
                                                           3,198,750     125,000       X       28-11439   125000

LINCARE HLDGS INC              COM            532791100       26,299         695       X        28-5284      695
                                                              34,056         900       X    X   28-5284      900

LINCOLN EDL SVCS CORP          COM            533535100    1,879,900     110,000       X        28-5284   110000
                                                              17,090       1,000       X    X   28-5284     1000

LINCOLN ELEC HLDGS INC         COM            533900106       86,708       1,384       X        28-5284     1384

LINCOLN NATL CORP IND          COM            534187109      864,548      15,318       X        28-5284    14429                 889
                                                             448,924       7,954       X    X   28-5284     7854                 100
                                                             107,405       1,903       X    X   28-1500     1903

LINEAR TECHNOLOGY CORP         COM            535678106    1,778,453      53,104       X        28-5284    52404                 700
                                                             705,802      21,075       X    X   28-5284    17375                3700
                                                               8,373         250       X        28-4580      250

LIONS GATE ENTMNT CORP         COM NEW        535919203          855         100       X        28-5284      100
               COLUMN TOTAL                               61,465,084






                                                                                                                   FILE NO. 28-1235
 PAGE   111 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LIVE NATION INC                COM            538034109       15,718         772       X        28-5284      736                  36
                                                              17,611         865       X    X   28-5284      865
                                                                 509          25       X    X   28-4580       25

LIZ CLAIBORNE INC              COM            539320101    3,228,964      87,128       X        28-5284    86828                 300
                                                           2,430,432      65,581       X    X   28-5284    64711       150       720
                                                              73,786       1,991       X        28-4580     1991
                                                              51,365       1,386       X    X   28-4580     1386

LLOYDS TSB GROUP PLC           SPONSORED ADR  539439109        1,105          28       X        28-5284       28
                                                             149,986       3,800       X    X   28-5284     3800

LOCKHEED MARTIN CORP           DBCV         8 539830AP4      340,968       3,000       X        28-5284     3000

LOCKHEED MARTIN CORP           COM            539830109    1,379,560      19,230       X        28-5284    19230
                                                           5,269,590      73,454       X    X   28-5284    72504                 950
                                                               6,313          88       X    X   28-4580       88

LOEWS CORP                     COM            540424108        3,722         105       X        28-5284      105
                                                             335,003       9,450       X    X   28-5284     7050                2400
                                                              42,540       1,200       X    X   28-4580     1200

LOEWS CORP                     CAROLNA GP STK 540424207        3,647          71       X        28-5284       71
                                                              25,685         500       X    X   28-1500      500

LONGS DRUG STORES CORP         COM            543162101       18,248         400       X        28-5284      400

LONGVIEW FIBRE CO              COM            543213102       23,863       1,250       X    X   28-5284                         1250

LORAL SPACE & COMMUNICATNS L   COM            543881106          624          22       X        28-5284       22

LOUDEYE CORP                   NEW COM        545754202          250         111       X        28-5284      111

LOUISIANA PAC CORP             COM            546347105       28,514       1,302       X        28-5284     1302
                                                             122,903       5,612       X    X   28-5284     5612

LOWES COS INC                  NOTE  0.861%10 548661CG0      315,750       3,000       X        28-5284     3000
               COLUMN TOTAL                               13,886,656






                                                                                                                   FILE NO. 28-1235
 PAGE   112 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
LOWES COS INC                  COM            548661107   55,862,631     920,762       X        28-5284   903713       500     16549
                                                          25,586,359     421,730       X    X   28-5284   394693     12510     14527
                                                             304,563       5,020       X        28-1500               5020
                                                              91,005       1,500       X       28-11439     1500
                                                           1,032,543      17,019       X        28-4580    16704                 315
                                                             476,442       7,853       X    X   28-4580     7714                 139

LUBRIZOL CORP                  COM            549271104      218,577       5,485       X        28-5284     5485
                                                             477,005      11,970       X    X   28-5284     8000                3970
                                                              47,860       1,201       X    X   28-1500     1201

LUCENT TECHNOLOGIES INC        COM            549463107      211,106      87,234       X        28-5284    83892                3342
                                                             489,694     202,353       X    X   28-5284   181884               20469
                                                                 881         364       X        28-1500                364
                                                             166,012      68,600       X       28-11439    68600
                                                               9,104       3,762       X        28-4580     3762
                                                               7,289       3,012       X    X   28-4580     3012

LUFKIN INDS INC                COM            549764108       29,715         500       X    X   28-5284      100                 400

LYONDELL CHEMICAL CO           COM            552078107       18,128         800       X        28-5284      800
                                                             542,979      23,962       X    X   28-5284     6561               17401

M & F WORLDWIDE CORP           COM            552541104          225          14       X        28-5284       14

M & T BK CORP                  COM            55261F104   21,274,301     180,413       X        28-5284   175485       200      4728
                                                          12,225,356     103,675       X    X   28-5284   100553      1390      1732
                                                             618,372       5,244       X        28-4580     5041                 203
                                                             162,612       1,379       X    X   28-4580     1379

MBIA INC                       COM            55262C100    7,530,994     128,625       X        28-5284   126025                2600
                                                           4,368,181      74,606       X    X   28-5284    74126       150       330
                                                              72,543       1,239       X    X   28-1500     1239
                                                               6,441         110       X    X   28-4580      110

MB FINANCIAL INC NEW           COM            55264U108       17,291         489       X        28-5284      489

MBIA CAP CLAYMORE MNG DUR IN   COM            55266X100       27,349       2,264       X    X   28-5284     2264

M D C HLDGS INC                COM            552676108          831          16       X    X   28-5284       16

MDU RES GROUP INC              COM            552690109      345,818       9,446       X        28-5284     9446
                                                             104,961       2,867       X    X   28-5284     2717                 150
               COLUMN TOTAL                              132,327,168






                                                                                                                   FILE NO. 28-1235
 PAGE   113 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MEMC ELECTR MATLS INC          COM            552715104       22,200         592       X        28-5284      592

MFA MTG INVTS INC              COM            55272X102           28           4       X        28-5284        4

MFS CHARTER INCOME TR          SH BEN INT     552727109       42,692       5,200       X    X   28-5284     5200

MFS INTER INCOME TR            SH BEN INT     55273C107       91,350      15,000       X        28-5284    15000

MFS MUN INCOME TR              SH BEN INT     552738106       50,765       6,500       X    X   28-5284     6000                 500

MGE ENERGY INC                 COM            55277P104       34,919       1,121       X    X   28-5284     1121

MGIC INVT CORP WIS             COM            552848103      195,975       3,015       X        28-5284      215                2800
                                                             429,000       6,600       X    X   28-5284                         6600

MFS GOVT MKTS INCOME TR        SH BEN INT     552939100        6,280       1,000       X        28-5284     1000

MGM MIRAGE                     COM            552953101    1,554,398      38,098       X        28-5284    35098                3000
                                                             302,410       7,412       X    X   28-5284     3152        60      4200
                                                               2,407          59       X    X   28-4580        6                  53

MI DEVS INC                    CL A SUB VTG   55304X104        6,782         200       X        28-5284      200

MPS GROUP INC                  COM            553409103        4,593         305       X        28-5284      305
                                                              15,060       1,000       X    X   28-5284     1000

MSC INDL DIRECT INC            CL A           553530106       26,164         550       X        28-5284      550
                                                              23,785         500       X    X   28-5284      500

MTS SYS CORP                   COM            553777103      158,040       4,000       X        28-5284     4000

MVC CAPITAL INC                COM            553829102        6,720         500       X        28-5284      500

MACK CALI RLTY CORP            COM            554489104       80,360       1,750       X        28-5284     1750
                                                             281,949       6,140       X    X   28-5284     5140                1000

MACQUARIE FT TR GB INF UT DI   COM            55607W100       36,582       1,763       X        28-5284     1763

MACQUARIE INFRASTRUCTURE CO    SH BEN INT     55607X108       74,493       2,700       X        28-5284     2700
                                                              91,047       3,300       X    X   28-5284     3300

MACQUARIE GLBL INFRA TOTL RE   COM            55608D101       13,776         609       X        28-5284      609
               COLUMN TOTAL                                3,551,775






                                                                                                                   FILE NO. 28-1235
 PAGE   114 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MADISON CLAYMORE CVRD CALL F   COM            556582104       27,020       2,000       X    X   28-5284     2000
                                                              22,967       1,700       X    X   28-1500     1700

MAGELLAN HEALTH SVCS INC       COM NEW        559079207       10,195         225       X    X   28-5284      225

MAGELLAN MIDSTREAM PRTNRS LP   COM UNIT RP LP 559080106       16,990         500       X        28-5284      500
                                                             338,101       9,950       X    X   28-5284     6550      3400

MAGNA ENTMT CORP               CL A           559211107          421          80       X        28-5284       80
                                                               4,471         850       X    X   28-5284      850

MAGNA INTL INC                 CL A           559222401       28,788         400       X        28-5284      400

MAGNETEK INC                   COM            559424106       28,080      10,400       X        28-5284    10400

MAGUIRE PPTYS INC              COM            559775101       35,170       1,000       X    X   28-5284     1000

MAINSOURCE FINANCIAL GP INC    COM            56062Y102      204,925      11,757       X        28-5284    11757
                                                           1,084,669      62,230       X        28-1500    62230

MANAGED MUNS PORTFOLIO INC     COM            561662107       66,654       6,300       X    X   28-5284     6300

MANHATTAN ASSOCS INC           COM            562750109       12,174         600       X    X   28-1500      600

MANITOWOC INC                  COM            563571108      217,249       4,882       X        28-5284     4882

MANNATECH INC                  COM            563771104        1,261         100       X    X   28-1500      100

MANNKIND CORP                  COM            56400P201       36,227       1,700       X        28-1500     1700

MANOR CARE INC NEW             COM            564055101       37,677         803       X        28-5284      803
                                                              35,190         750       X        28-4580      750

MANPOWER INC                   COM            56418H100        6,137          95       X        28-5284       95
                                                              13,308         206       X    X   28-5284      206

MANULIFE FINL CORP             COM            56501R106    3,983,259     125,378       X        28-5284   125378
                                                           2,381,479      74,960       X    X   28-5284    71290                3670
               COLUMN TOTAL                                8,592,412






                                                                                                                   FILE NO. 28-1235
 PAGE   115 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MARATHON OIL CORP              COM            565849106   24,312,771     291,870       X        28-5284   279476       500     11894
                                                           5,790,766      69,517       X    X   28-5284    65422      2590      1505
                                                              23,241         279       X        28-1500                279
                                                             365,437       4,387       X        28-4580     4254                 133
                                                              83,217         999       X    X   28-4580      999

MARCUS CORP                    COM            566330106       39,672       1,900       X        28-5284     1900
                                                             100,746       4,825       X    X   28-1500     4825

MARINE PRODS CORP              COM            568427108       11,676       1,200       X    X   28-5284     1200

MARINER ENERGY INC             COM            56845T305        4,409         240       X    X   28-1500      240

MARITRANS INC                  COM            570363101       74,700       3,000       X    X   28-5284     3000

MARSH & MCLENNAN COS INC       COM            571748102    2,223,776      82,699       X        28-5284    82699
                                                           1,240,167      46,120       X    X   28-5284    45620                 500
                                                             236,524       8,796       X        28-4580     8796
                                                             107,560       4,000       X    X   28-4580     4000

MARSHALL & ILSLEY CORP         COM            571834100       72,635       1,588       X        28-5284     1588

MARRIOTT INTL INC NEW          CL A           571903202   44,573,411   1,169,292       X        28-5284  1146332       800     22160
                                                          36,690,614     962,503       X    X   28-5284   928399     21790     12314
                                                           1,690,927      44,358       X        28-4580    44098                 260
                                                             424,276      11,130       X    X   28-4580    11130

MARTEK BIOSCIENCES CORP        COM            572901106        6,224         215       X        28-5284      215

MARTEN TRANS LTD               COM            573075108       53,437       2,458       X        28-5284     2458

MARTHA STEWART LIVING OMNIME   CL A           573083102        4,428         265       X        28-5284      265
                                                              15,039         900       X    X   28-5284      800       100
                                                               8,355         500       X    X   28-4580      500

MARTIN MARIETTA MATLS INC      COM            573284106       52,594         577       X        28-5284      577
                                                             533,592       5,854       X    X   28-5284     5854

MARTIN MIDSTREAM PRTNRS L P    UNIT L P INT   573331105        9,234         300       X        28-5284      300

MARVEL ENTERTAINMENT INC       COM            57383T103        7,720         386       X    X   28-5284      386
               COLUMN TOTAL                              118,757,148






                                                                                                                   FILE NO. 28-1235
 PAGE   116 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MASCO CORP                     COM            574599106    3,545,092     119,605       X        28-5284   116705                2900
                                                           1,616,151      54,526       X    X   28-5284    49776                4750

MASSEY ENERGY CORP             COM            576206106        3,600         100       X        28-5284      100
                                                              60,984       1,694       X    X   28-5284     1694
                                                              42,840       1,190       X    X   28-1500     1190
                                                           8,614,800     239,300       X       28-11439   239300

MASSMUTUAL CORPORATE INVS IN   COM            576292106       12,680         400       X    X   28-5284      400

MASSMUTUAL PARTN INVS          SH BEN INT     576299101       75,958       5,115       X        28-5284     5115

MASTERCARD INC                 COM            57636Q104       43,200         900       X        28-5284      900
                                                              55,200       1,150       X    X   28-5284     1150

MATRIA HEALTHCARE INC          COM NEW        576817209       18,036         842       X    X   28-5284      842

MATSUSHITA ELEC INDL           ADR            576879209       73,575       3,482       X        28-5284     2432                1050
                                                             201,052       9,515       X    X   28-5284     3515                6000

MATTEL INC                     COM            577081102   11,650,215     705,646       X        28-5284   684696               20950
                                                             741,233      44,896       X    X   28-5284    26496      5500     12900
                                                             186,332      11,286       X        28-1500    11286
                                                              12,894         781       X    X   28-4580      781

MATTHEWS INTL CORP             CL A           577128101       10,341         300       X        28-5284      300
                                                             324,018       9,400       X    X   28-5284     9400
                                                           1,713,159      49,700       X       28-11439    49700

MATTSON TECHNOLOGY INC         COM            577223100       45,235       4,630       X        28-5284     4630

MAXIM INTEGRATED PRODS INC     COM            57772K101      302,123       9,409       X        28-5284     9409
                                                              43,670       1,360       X    X   28-5284     1360

MAVERICK TUBE CORP             COM            577914104      336,803       5,330       X        28-5284     5330

MBT FINL CORP                  COM            578877102       24,960       1,560       X        28-5284     1560

MCAFEE INC                     COM            579064106       57,447       2,367       X        28-5284     2367
                                                              12,135         500       X    X   28-5284      500

MCCLATCHY CO                   CL A           579489105      364,370       9,082       X        28-5284     7671                1411
                                                             323,327       8,059       X    X   28-5284     5892                2167
               COLUMN TOTAL                               30,511,430






                                                                                                                   FILE NO. 28-1235
 PAGE   117 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MCCORMICK & CO INC             COM NON VTG    579780206    9,897,418     295,005       X        28-5284   294455                 550
                                                          10,046,984     299,463       X    X   28-5284   284913      4800      9750
                                                              32,208         960       X    X   28-1500      960
                                                             123,296       3,675       X        28-4580     3675
                                                              78,406       2,337       X    X   28-4580     2337

MCDATA CORP                    CL A           580031201           29           7       X        28-5284                            7
                                                                  90          22       X    X   28-5284       22

MCDERMOTT INTL INC             COM            580037109       68,205       1,500       X        28-5284     1500
                                                              20,462         450       X    X   28-5284      450

MCDONALDS CORP                 COM            580135101   44,305,934   1,318,629       X        28-5284  1245226       600     72803
                                                          25,802,784     767,940       X    X   28-5284   696669     18820     52451
                                                              77,280       2,300       X    X   28-1500     2300
                                                             451,450      13,436       X        28-4580    13266                 170
                                                             124,622       3,709       X    X   28-4580     3709

MCG CAPITAL CORP               COM            58047P107       46,905       2,950       X    X   28-5284     2950

MCGRAW HILL COS INC            COM            580645109   46,325,873     922,275       X        28-5284   913216                9059
                                                          47,330,323     942,272       X    X   28-5284   919205      6900     16167
                                                             301,380       6,000       X    X   28-1500     6000
                                                             890,176      17,722       X        28-4580    17722
                                                             301,480       6,002       X    X   28-4580     6002

MCKESSON CORP                  COM            58155Q103    1,051,507      22,240       X        28-5284    22240
                                                             100,470       2,125       X    X   28-5284     2125
                                                             141,840       3,000       X    X   28-1500     3000

MCMORAN EXPLORATION CO         COM            582411104        1,302          74       X    X   28-5284       74

MEADWESTVACO CORP              COM            583334107      368,313      13,187       X        28-5284    13187
                                                             319,352      11,434       X    X   28-5284     5734                5700

MEASUREMENT SPECIALTIES INC    COM            583421102       10,022         450       X        28-5284      450
                                                              97,632       4,384       X    X   28-5284                         4384

MECHANICAL TECHNOLOGY INC      COM            583538103          494         200       X        28-5284      200

MEDAREX INC                    COM            583916101       67,270       7,000       X        28-5284     7000
                                                              67,270       7,000       X    X   28-5284     7000
               COLUMN TOTAL                              188,450,777






                                                                                                                   FILE NO. 28-1235
 PAGE   118 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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    7,979,620     139,309       X        28-5284   133366                5943
                                                          14,820,914     258,745       X    X   28-5284   255014       170      3561
                                                              65,987       1,152       X        28-1500               1152
                                                              37,977         663       X        28-4580      434                 229
                                                             219,268       3,828       X    X   28-4580     3828

MEDIA GEN INC                  CL A           584404107      196,883       4,700       X        28-5284     4200                 500
                                                             121,481       2,900       X    X   28-5284     2000                 900

MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309        1,200          50       X        28-5284       50
                                                               5,808         242       X    X   28-5284      242

MEDIMMUNE INC                  COM            584699102       31,815       1,174       X        28-5284     1174
                                                              22,141         817       X    X   28-5284      817

MEDIS TECHNOLOGIES LTD         COM            58500P107      270,089      13,318       X        28-5284    13318

MEDTRONIC INC                  COM            585055106   65,885,252   1,404,204       X        28-5284  1355409       500     48295
                                                          46,138,454     983,343       X    X   28-5284   923871     40897     18575
                                                              49,266       1,050       X        28-1500               1050
                                                             563,181      12,003       X        28-4580    11530                 473
                                                             541,081      11,532       X    X   28-4580    10835       661        36

MELLON FINL CORP               COM            58551A108    7,647,041     222,104       X        28-5284   221934                 170
                                                           3,553,933     103,222       X    X   28-5284   103222
                                                              41,316       1,200       X    X   28-4580     1200

MEMORY PHARMACEUTICALS CORP    COM            58606R403        4,860       4,500       X    X   28-5284     4500

MENS WEARHOUSE INC             COM            587118100       10,211         337       X        28-5284      337
                                                              96,415       3,182       X    X   28-1500     3182

MENTOR CORP MINN               COM            587188103        4,350         100       X    X   28-5284                          100

MENTOR GRAPHICS CORP           COM            587200106        5,854         451       X        28-5284      451

MERCANTILE BANK CORP           COM            587376104       21,957         551       X        28-4580      551

MERCANTILE BANKSHARES CORP     COM            587405101      700,916      19,650       X        28-5284    18450                1200
                                                             629,576      17,650       X    X   28-5284    13500                4150
                                                              40,129       1,125       X    X   28-1500     1125

MERCHANTS BANCSHARES           COM            588448100       24,150       1,000       X    X   28-5284     1000
               COLUMN TOTAL                              149,731,125






                                                                                                                   FILE NO. 28-1235
 PAGE   119 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MERCK & CO INC                 COM            589331107  103,329,323   2,836,380       X        28-5284  2795639       550     40191
                                                         166,796,176   4,578,539       X    X   28-5284  4497895     49097     31547
                                                             123,862       3,400       X        28-1500               3400
                                                           1,256,034      34,478       X        28-4580    32271                2207
                                                           2,641,940      72,521       X    X   28-4580    69195      2126      1200

MEREDITH CORP                  COM            589433101        9,908         200       X    X   28-5284      200

MERIDIAN BIOSCIENCE INC        COM            589584101    1,238,768      49,650       X    X   28-5284    49650
                                                              19,686         789       X        28-1500      489       300

MERIDIAN GOLD INC              COM            589975101       15,840         500       X    X   28-5284      500

MERGE TECHNOLOGIES INC         COM            589981109      129,944      10,556       X    X   28-5284                        10556

MERRILL LYNCH & CO INC         DEBT        10 590188P51    1,120,000      10,000       X        28-5284    10000

MERRILL LYNCH & CO INC         NOTE         3 590188W46      436,000       4,000       X        28-5284     4000

MERRILL LYNCH & CO INC         COM            590188108   32,351,173     465,083       X        28-5284   451322       500     13261
                                                          33,278,965     478,421       X    X   28-5284   463591      2910     11920
                                                             517,805       7,444       X        28-4580     7304                 140
                                                              82,776       1,190       X    X   28-4580     1190

METLIFE INC                    COM            59156R108   13,607,726     265,724       X        28-5284   257094       400      8230
                                                           4,132,442      80,696       X    X   28-5284    75392      2210      3094
                                                             319,755       6,244       X        28-4580     5885                 359
                                                              66,675       1,302       X    X   28-4580     1302

METROLOGIC INSTRS INC          COM            591676101        7,505         500       X    X   28-5284      500

METTLER TOLEDO INTERNATIONAL   COM            592688105       19,625         324       X        28-5284      324

MICHAELS STORES INC            COM            594087108        8,248         200       X    X   28-5284      200

MICREL INC                     COM            594793101        3,974         397       X        28-5284      397

MICROS SYS INC                 COM            594901100        8,736         200       X        28-5284      200
               COLUMN TOTAL                              361,522,886






                                                                                                                   FILE NO. 28-1235
 PAGE   120 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MICROSOFT CORP                 COM            594918104  141,976,360   6,093,406       X        28-5284  5861060      2000    230346
                                                          86,464,483   3,710,922       X    X   28-5284  3495890     60805    154227
                                                           1,374,234      58,980       X        28-1500    10116     48864
                                                           1,183,640      50,800       X       28-11439    50800
                                                           2,446,826     105,014       X        28-4580   103734                1280
                                                           1,934,716      83,035       X    X   28-4580    82875                 160

MICROVISION INC DEL            COM            594960106       29,685      15,381       X        28-1500    15381

MICROCHIP TECHNOLOGY INC       COM            595017104       97,261       2,899       X        28-5284     2899
                                                              36,737       1,095       X    X   28-5284      205                 890

MICRON TECHNOLOGY INC          COM            595112103       12,349         820       X        28-5284      820
                                                              18,072       1,200       X    X   28-5284     1200
                                                               1,506         100       X        28-4580      100

MID PENN BANCORP INC           COM            59540G107       25,894       1,070       X    X   28-5284                         1070

MIDAS GROUP INC                COM            595626102        1,362          74       X        28-5284       74
                                                              18,234         991       X    X   28-5284      991

MIDCAP SPDR TR                 UNIT SER 1     595635103   68,864,934     494,826       X        28-5284   492890                1936
                                                          31,218,754     224,321       X    X   28-5284   199284     23051      1986
                                                           1,180,718       8,484       X        28-4580     8184                 300
                                                             975,025       7,006       X    X   28-4580     7006

MIDDLEBY CORP                  COM            596278101       25,968         300       X        28-5284      300
                                                             874,256      10,100       X    X   28-5284    10100

MIDDLESEX WATER CO             COM            596680108       81,980       4,333       X    X   28-5284     4333

MIDLAND CO                     COM            597486109        5,317         140       X    X   28-1500      140

MIKRON INFRARED INC            COM            59862R103      126,630       9,000       X        28-5284     9000

MILACRON INC                   COM            598709103          146         146       X        28-5284      146
                                                             162,000     162,000       X    X   28-5284   162000

MILLENNIUM PHARMACEUTICALS I   COM            599902103       24,197       2,427       X        28-5284     2427
                                                             124,226      12,460       X    X   28-5284    12460
                                                              61,874       6,206       X        28-1500     6206
               COLUMN TOTAL                              339,347,384






                                                                                                                   FILE NO. 28-1235
 PAGE   121 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MILLEA HOLDINGS INC            ADR            60032R106          744           8       X        28-5284        8
                                                               1,023          11       X    X   28-5284       11

MILLENNIUM CELL INC            COM            60038B105        7,150       5,000       X        28-5284     5000

MILLER HERMAN INC              COM            600544100       80,145       3,110       X        28-5284     3110

MILLER INDS INC TENN           COM NEW        600551204        8,280         400       X        28-5284      400

MILLIPORE CORP                 COM            601073109      288,242       4,576       X        28-5284     4576
                                                             553,178       8,782       X    X   28-5284     8782

MILLS CORP                     COM            601148109       58,850       2,200       X        28-5284     2200
                                                               8,025         300       X    X   28-5284      300

MINDSPEED TECHNOLOGIES INC     COM            602682106          441         183       X        28-5284      183
                                                               3,613       1,499       X    X   28-5284     1366                 133

MINE SAFETY APPLIANCES CO      COM            602720104    5,411,724     134,620       X        28-5284   134620
                                                             311,550       7,750       X    X   28-5284      700                7050

MIRANT CORP NEW                COM            60467R100        3,725         139       X        28-5284      139
                                                                 456          17       X    X   28-5284       17

MIRANT CORP NEW                *W EXP 01/03/2 60467R118           61           6       X        28-5284        6
                                                                 545          54       X    X   28-5284       54

MIRANT CORP NEW                *W EXP 01/03/2 60467R126       11,007       1,023       X        28-5284     1023

MITSUBISHI UFJ FINL GROUP IN   SPONSORED ADR  606822104       80,101       5,742       X        28-5284     5742
                                                             150,772      10,808       X    X   28-5284    10058                 750

MITSUI & CO LTD                ADR            606827202          564           2       X    X   28-5284        2

MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109        5,888         200       X    X   28-4580      200

MOLECULAR DEVICES CORP         COM            60851C107       61,120       2,000       X        28-5284     2000

MOLEX INC                      CL A           608554200       22,438         781       X    X   28-5284      781

MOLSON COORS BREWING CO        CL B           60871R209       19,346         285       X        28-5284      285
               COLUMN TOTAL                                7,088,988






                                                                                                                   FILE NO. 28-1235
 PAGE   122 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MONEYGRAM INTL INC             COM            60935Y109      246,545       7,262       X        28-5284     7262
                                                             135,800       4,000       X    X   28-5284     4000

MONROE BANCORP                 COM            610313108          828          52       X        28-5284       52

MONSANTO CO NEW                COM            61166W101    1,876,511      22,289       X        28-5284    22189       100
                                                           2,753,434      32,705       X    X   28-5284    32213                 492
                                                              44,284         526       X    X   28-1500      526
                                                              89,157       1,059       X    X   28-4580     1059

MONSTER WORLDWIDE INC          COM            611742107      156,989       3,680       X        28-5284     3680

MONTGOMERY STR INCOME SECS I   COM            614115103       19,795       1,199       X    X   28-5284     1199

MOODYS CORP                    COM            615369105   47,455,028     871,374       X        28-5284   853710       400     17264
                                                          24,958,855     458,297       X    X   28-5284   424929     22570     10798
                                                           1,032,235      18,954       X        28-4580    18571                 383
                                                           1,131,624      20,779       X    X   28-4580    20779

MOOG INC                       CL A           615394202        2,703          79       X        28-5284       79

MORGAN STANLEY EASTN EUR FD    COM            616988101       38,783       1,134       X        28-5284     1134

MORGAN STANLEY EMER MKTS FD    COM            61744G107       35,627       1,549       X        28-5284     1549

MORGAN STANLEY EMER MKTS DEB   COM            61744H105       48,846       5,350       X    X   28-5284     5350

MORGAN STANLEY HIGH YIELD FD   COM            61744M104       20,052       3,600       X    X   28-5284     3600

MORGAN STANLEY ASIA PAC FD I   COM            61744U106       50,605       3,213       X        28-5284     3213

MORGAN STANLEY                 COM NEW        617446448   55,232,898     873,800       X        28-5284   838270               35530
                                                          52,051,159     823,464       X    X   28-5284   808899      2550     12015
                                                             798,595      12,634       X        28-1500     1057     11577
                                                             815,409      12,900       X       28-11439    12900
                                                           1,022,675      16,179       X        28-4580    16179
                                                             491,647       7,778       X    X   28-4580     7778

MORGAN STANLEY INDIA INVS FD   COM            61745C105       13,077         300       X    X   28-5284      300

MORGAN STANLEY                 GOVT INCOME TR 61745P106      102,600      12,000       X    X   28-5284    12000

MORGAN STANLEY                 MUN PREM INCOM 61745P429       36,440       4,000       X    X   28-5284                         4000
               COLUMN TOTAL                              190,662,201






                                                                                                                   FILE NO. 28-1235
 PAGE   123 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MORGAN STANLEY                 QULTY MUN SECS 61745P585       21,060       1,500       X    X   28-4580     1500

MORGAN STANLEY                 QLT MUN INV TR 61745P668       94,080       7,000       X        28-5284     7000

MORGAN STANLEY                 QUALT MUN INCM 61745P734       30,244       2,112       X        28-5284     2112

MORGAN STANLEY                 INSD MUN INCM  61745P791      479,720      33,500       X        28-5284    33500
                                                              33,351       2,329       X    X   28-4580     2329

MORGAN STANLEY                 INSD MUN TR    61745P866        7,100         500       X        28-5284      500
                                                               8,520         600       X    X   28-5284                600

MORGAN STANLEY                 INCOME SEC INC 61745P874        7,316         496       X        28-5284      496

MORNINGSTAR INC                COM            617700109       45,628       1,100       X    X   28-5284     1100

MOTOROLA INC                   COM            620076109   22,331,641   1,108,270       X        28-5284  1102436       150      5684
                                                          24,141,856   1,198,107       X    X   28-5284  1162993      4400     30714
                                                               4,050         201       X        28-1500                201
                                                           1,986,790      98,600       X       28-11439    98600
                                                             162,208       8,050       X        28-4580     8050
                                                             238,072      11,815       X    X   28-4580    11815

MUELLER INDS INC               COM            624756102       55,094       1,668       X        28-5284     1668
                                                               5,021         152       X    X   28-5284      152

MULTI COLOR CORP               COM            625383104        6,000         200       X        28-5284                          200
                                                              42,960       1,432       X    X   28-1500     1432

MUNIHOLDINGS INSD FD INC       COM            625930102       12,310       1,000       X    X   28-5284     1000

MUNIASSETS FD INC              COM            62618Q106       29,017       1,978       X        28-5284     1978

MUNI INTER DURATION FD INC     COM            62618U107       22,083       1,574       X    X   28-5284     1574

MUNICIPAL HIGH INCOME FD INC   COM            626214100       14,848       2,034       X        28-5284     2034

MUNICIPAL MTG & EQUITY L L C   GROWTH SHS     62624B101       23,086         850       X    X   28-5284      850

MUNIHOLDINGS FLA INSD FD       COM            62624W105       45,024       3,355       X        28-5284     3355
                                                             125,303       9,337       X    X   28-5284     9337

MUNIHOLDINGS INSD FD II INC    COM            62625A102       12,250       1,000       X    X   28-5284     1000
               COLUMN TOTAL                               49,984,632






                                                                                                                   FILE NO. 28-1235
 PAGE   124 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MUNIHOLDINGS FD INC            COM            62625H107      204,360      13,000       X        28-5284    13000

MUNIYIELD ARIZ FD INC          COM            62629H103       62,995       4,225       X    X   28-5284     4225

MUNIYIELD CALIF INS FD         COM            62629L104       30,361       2,259       X        28-5284     2259

MUNIVEST FD II INC             COM            62629P105       50,295       3,333       X    X   28-5284     3333

MUNIVEST FD INC                COM            626295109       89,900      10,000       X        28-5284    10000

MUNIYIELD FLA FD               COM            626297105       30,843       2,300       X        28-5284     2300

MUNIYIELD FD INC               COM            626299101      187,720      13,000       X        28-5284    13000
                                                             328,033      22,717       X    X   28-5284    22717

MUNIYIELD INSD FD INC          COM            62630E107       62,278       4,672       X        28-5284     4672
                                                              55,533       4,166       X    X   28-5284     4166
                                                               8,065         605       X        28-4580      605

MUNIYIELD MICH INSD FD INC     COM            62630J106       14,060       1,000       X    X   28-5284     1000

MUNIYIELD N J FD INC           COM            62630L101       20,647       1,421       X        28-5284     1421

MUNIYIELD QUALITY FD II        COM            62630T104       59,800       5,000       X        28-5284     5000
                                                              11,960       1,000       X    X   28-5284     1000

MUNIYIELD PA INSD FD           COM            62630V109       53,653       3,816       X        28-5284     3816
                                                             250,043      17,784       X    X   28-5284    17784
                                                              29,990       2,133       X    X   28-4580     2133

MUNIYIELD MICH INSD FD II IN   COM            626300107        6,670         500       X    X   28-5284      500

MUNIYIELD QUALITY FD INC       COM            626302103       66,010       5,000       X        28-5284     5000
                                                              28,596       2,166       X    X   28-5284     2166

MURPHY OIL CORP                COM            626717102       50,833         910       X        28-5284      910
                                                              45,247         810       X    X   28-5284      410                 400

MYERS INDS INC                 COM            628464109      264,795      15,404       X        28-5284    15404
               COLUMN TOTAL                                2,012,687






                                                                                                                   FILE NO. 28-1235
 PAGE   125 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
MYLAN LABS INC                 COM            628530107      339,640      16,982       X        28-5284    13607                3375
                                                             415,460      20,773       X    X   28-5284    17675                3098
                                                              41,860       2,093       X    X   28-1500     2093
                                                              29,120       1,456       X    X   28-4580     1456

MYRIAD GENETICS INC            COM            62855J104       12,625         500       X        28-5284      500

MYOGEN INC                     COM            62856E104       36,134       1,246       X        28-5284     1246

NBT BANCORP INC                COM            628778102      561,980      24,192       X        28-5284    24192
                                                             191,648       8,250       X    X   28-5284     8250

NCR CORP NEW                   COM            62886E108       51,113       1,395       X        28-5284     1111                 284
                                                             145,094       3,960       X    X   28-5284     3800                 160

NEC CORP                       ADR            629050204       17,205       3,228       X        28-5284     3228

NGAS RESOURCES INC             COM            62912T103      161,745      20,500       X        28-5284    20500
                                                                 742          94       X        28-1500       94

NII HLDGS INC                  CL B NEW       62913F201       22,552         400       X        28-5284      400

NL INDS INC                    COM NEW        629156407        5,375         500       X        28-5284      500

NTL INC DEL                    COM            62941W101          896          36       X    X   28-5284       36

NUCO2 INC                      COM            629428103       28,848       1,200       X        28-5284     1200

NVR INC                        COM            62944T105        1,474           3       X    X   28-5284        3

NYSE GROUP INC                 COM            62949W103      130,112       1,900       X        28-5284                         1900
                                                              73,958       1,080       X    X   28-5284     1080

NABORS INDS INC                NOTE         6 629568AL0      328,500       3,000       X        28-5284     3000

NACCO INDS INC                 CL A           629579103    1,758,024      12,794       X    X   28-5284    12794

NAM TAI ELECTRS INC            COM PAR $0.02  629865205       22,370       1,000       X    X   28-5284     1000

NANOGEN INC                    COM            630075109        3,449       1,815       X        28-5284     1815

NANOPHASE TCHNOLOGIES CORP     COM            630079101          145          20       X        28-5284       20
               COLUMN TOTAL                                4,380,069






                                                                                                                   FILE NO. 28-1235
 PAGE   126 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NAPCO SEC SYS INC              COM            630402105      146,305      15,052       X    X   28-5284                        15052

NARA BANCORP INC               COM            63080P105      150,000       8,000       X    X   28-5284     8000

NASDAQ 100 TR                  UNIT SER 1     631100104    4,394,502     113,348       X        28-5284   113218                 130
                                                          14,185,013     365,876       X    X   28-5284   365076                 800
                                                             198,037       5,108       X        28-4580     5108
                                                             131,896       3,402       X    X   28-4580     3402

NASDAQ STOCK MARKET INC        COM            631103108        2,990         100       X    X   28-5284      100

NASHUA CORP                    COM            631226107       33,500       5,000       X        28-5284     5000

NATCO GROUP INC                CL A           63227W203    1,305,696      32,480       X    X   28-5284    32480

NATIONAL AUSTRALIA BK LTD      CAP UTS EXCHBL 632525309      152,964       3,600       X        28-5284     3600

NATIONAL AUSTRALIA BK LTD      SPONSORED ADR  632525408        1,173           9       X        28-5284        9

NATIONAL BANKSHARES INC VA     COM            634865109    5,726,196     260,400       X        28-1500   260400

NATIONAL CITY CORP             COM            635405103   55,665,757   1,538,153       X        28-5284  1425989              112164
                                                          25,068,306     692,686       X    X   28-5284   636542     19528     36616
                                                          10,578,880     292,315       X        28-1500   286565      5750
                                                             408,404      11,285       X        28-4580    11285
                                                             758,904      20,970       X    X   28-4580    20970

NATIONAL HEALTH REALTY INC     COM            635905102       23,688       1,250       X        28-5284     1250

NATIONAL FUEL GAS CO N J       COM            636180101      427,021      12,152       X        28-5284    12152
                                                             143,406       4,081       X    X   28-5284     2699                1382
                                                              35,140       1,000       X    X   28-4580     1000

NATIONAL GRID PLC              SPON ADR NEW   636274300        1,568          29       X        28-5284       29

NATIONAL HEALTH INVS INC       COM            63633D104       45,713       1,700       X    X   28-1500     1700

NATIONAL INSTRS CORP           COM            636518102      367,160      13,400       X        28-5284     5200                8200
                                                             424,700      15,500       X    X   28-5284                        15500

NATIONAL OILWELL VARCO INC     COM            637071101      241,566       3,815       X        28-5284     2624                1191
                                                             126,640       2,000       X    X   28-5284                         2000
                                                              18,996         300       X        28-1500                300
               COLUMN TOTAL                              120,764,121






                                                                                                                   FILE NO. 28-1235
 PAGE   127 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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        3,396         171       X        28-5284      171
                                                              31,021       1,562       X    X   28-5284     1562

NATIONAL RETAIL PROPERTIES I   COM            637417106       29,925       1,500       X    X   28-5284     1500

NATIONAL SEMICONDUCTOR CORP    COM            637640103       65,683       2,754       X        28-5284     2754
                                                             158,340       6,639       X    X   28-5284      639                6000
                                                             288,585      12,100       X       28-11439    12100

NATIONAL WESTMINSTER BK PLC    ADR REP PREF B 638539700       30,360       1,200       X        28-5284     1200

NATIONWIDE FINL SVCS INC       CL A           638612101      156,352       3,547       X        28-5284     2302                1245
                                                             288,107       6,536       X    X   28-5284     6073                 463

NATIONWIDE HEALTH PPTYS INC    COM            638620104      482,614      21,440       X        28-5284    21440
                                                             105,797       4,700       X    X   28-5284     4700

NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103       13,550         250       X        28-5284      250
                                                              81,300       1,500       X    X   28-5284               1500

NATUS MEDICAL INC DEL          COM            639050103        4,945         500       X    X   28-5284      500

NAUTILUS INC                   COM            63910B102        6,284         400       X    X   28-5284      400

NAVISTAR INTL CORP NEW         COM            63934E108    1,009,010      41,000       X       28-11439    41000

NAVIGANT INTL INC              COM            63935R108        1,651         103       X    X   28-5284      103

NAVTEQ CORP                    COM            63936L100      329,962       7,385       X        28-5284     7385
                                                              17,291         387       X    X   28-5284      387

NEENAH PAPER INC               COM            640079109       26,674         876       X        28-5284      867                   9
                                                              62,179       2,042       X    X   28-5284     1835                 207
                                                                 183           6       X        28-1500                  6
                                                                 731          24       X    X   28-4580       24

NEKTAR THERAPEUTICS            COM            640268108        5,502         300       X    X   28-5284      300

NEOGEN CORP                    COM            640491106       11,950         625       X    X   28-5284      625
                                                              18,642         975       X        28-1500      689       286

NEOSE TECHNOLOGIES INC         COM            640522108       20,250       5,000       X    X   28-5284     5000
               COLUMN TOTAL                                3,250,284






                                                                                                                   FILE NO. 28-1235
 PAGE   128 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NEOWARE INC                    COM            64065P102        8,603         700       X        28-5284      700

NETBANK INC                    COM            640933107        1,326         200       X        28-1500      200

NETFLIX COM INC                COM            64110L106        7,456         274       X        28-5284      274
                                                              32,652       1,200       X    X   28-5284     1200

NETWORK APPLIANCE INC          COM            64120L104      297,932       8,440       X        28-5284     8440
                                                              19,803         561       X    X   28-5284      561

NEUROCRINE BIOSCIENCES INC     COM            64125C109        4,505         425       X        28-5284      425
                                                               4,876         460       X    X   28-5284      460

NEUBERGER BERMAN RLTY INC FD   COM            64126G109       21,945       1,100       X        28-5284     1100

NEUSTAR INC                    CL A           64126X201      455,625      13,500       X        28-5284                        13500
                                                             161,156       4,775       X    X   28-5284                         4775

NEW AMER HIGH INCOME FD INC    COM            641876107        1,840         856       X        28-5284      856

NEUBERGER BERMAN RE ES SEC F   COM            64190A103       23,055       1,500       X        28-5284     1500

NEW CENTURY FINANCIAL CORP M   COM            6435EV108       13,725         300       X    X   28-5284      300

NEW GERMANY FD INC             COM            644465106       18,585       1,500       X        28-5284     1500

NEW JERSEY RES                 COM            646025106       36,956         790       X        28-5284      790
                                                             361,376       7,725       X    X   28-5284     6175                1550

NEW PLAN EXCEL RLTY TR INC     COM            648053106      167,744       6,794       X        28-5284     6794
                                                             492,961      19,966       X    X   28-5284    15416                4550

NEW YORK CMNTY BANCORP INC     COM            649445103    3,334,739     201,983       X        28-5284   200983                1000
                                                           3,017,549     182,771       X    X   28-5284   171021      6000      5750
                                                               9,906         600       X    X   28-1500      600
                                                               3,302         200       X    X   28-4580      200

NEW YORK MTG TR INC            COM            649604105       22,812       5,703       X        28-5284     5703
                                                               4,000       1,000       X    X   28-5284     1000

NEW YORK TIMES CO              CL A           650111107      309,719      12,621       X        28-5284    10921                1700
                                                             117,694       4,796       X    X   28-5284     1796                3000
                                                              73,620       3,000       X       28-11439     3000
               COLUMN TOTAL                                9,025,462






                                                                                                                   FILE NO. 28-1235
 PAGE   129 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NEWCASTLE INVT CORP            COM            65105M108       50,640       2,000       X    X   28-1500     2000

NEWELL RUBBERMAID INC          COM            651229106    6,111,275     236,596       X        28-5284   233696                2900
                                                           8,826,783     341,726       X    X   28-5284   150138              191588
                                                              98,154       3,800       X    X   28-1500     3800

NEWFIELD EXPL CO               COM            651290108      181,078       3,700       X        28-5284     3700
                                                             643,659      13,152       X    X   28-5284    12916                 236

NEWKIRK REALTY TR INC          COM            651497109       60,760       3,500       X    X   28-5284                         3500

NEWMARKET CORP                 COM            651587107       19,624         400       X    X   28-5284                          400

NEWMONT MINING CORP            COM            651639106    1,606,214      30,346       X        28-5284    30346
                                                           6,144,379     116,085       X    X   28-5284   113120                2965
                                                             214,367       4,050       X    X   28-4580     4050

NEWPARK RES INC                COM PAR $.01NE 651718504       12,300       2,000       X       28-11439     2000

NEWPORT CORP                   COM            651824104       15,088         936       X        28-5284      936

NEWS CORP                      CL A           65248E104    7,439,078     387,856       X        28-5284   363705      1200     22951
                                                           2,137,074     111,422       X    X   28-5284    98953      3800      8669
                                                               4,795         250       X    X   28-1500      250
                                                              45,763       2,386       X        28-4580     2386
                                                               5,064         264       X    X   28-4580      264

NEWS CORP                      CL B           65248E203       63,163       3,130       X        28-5284     3130
                                                             389,474      19,300       X    X   28-5284    18900                 400

NEXMED INC                     COM            652903105          427         700       X    X   28-5284      700

NEXEN INC                      COM            65334H102          113           2       X        28-5284        2
                                                               2,827          50       X    X   28-1500       50

NFJ DIVID INT & PREM STRTGY    COM SHS        65337H109       34,963       1,556       X        28-5284     1556
                                                              35,952       1,600       X    X   28-5284     1600

NICHOLAS-APPLEGATE CV & INC    COM            65370F101       50,230       3,224       X    X   28-5284     3224

NICHOLAS APPLEGATE CV&INC FD   COM            65370G109       17,940       1,200       X    X   28-5284                         1200
               COLUMN TOTAL                               34,211,184






                                                                                                                   FILE NO. 28-1235
 PAGE   130 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NICOR INC                      COM            654086107       50,464       1,216       X        28-5284     1216
                                                             103,750       2,500       X    X   28-5284     2500

NIKE INC                       CL B           654106103    7,614,810      94,010       X        28-5284    82400               11610
                                                             637,875       7,875       X    X   28-5284     5025       850      2000
                                                             130,896       1,616       X        28-1500     1616
                                                             143,775       1,775       X    X   28-1500     1775
                                                              16,200         200       X        28-4580      200

NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105        3,181         130       X        28-5284      130

NISOURCE INC                   COM            65473P105       41,016       1,878       X        28-5284     1878
                                                             365,623      16,741       X    X   28-5284    16741

NISSAN MOTORS                  SPONSORED ADR  654744408       32,794       1,492       X        28-5284     1492

NOKIA CORP                     SPONSORED ADR  654902204   39,271,214   1,938,362       X        28-5284  1896807      1200     40355
                                                          17,353,622     856,546       X    X   28-5284   781589      7470     67487
                                                              50,853       2,510       X        28-1500     2510
                                                             420,800      20,770       X    X   28-1500    20770
                                                              81,040       4,000       X       28-11439     4000
                                                             496,411      24,502       X        28-4580    24182                 320
                                                             275,880      13,617       X    X   28-4580    13617

NOBLE ENERGY INC               COM            655044105    1,411,236      30,116       X        28-5284     4316               25800
                                                              59,606       1,272       X    X   28-5284     1272
                                                               9,466         202       X    X   28-1500      202

NOMURA HLDGS INC               SPONSORED ADR  65535H208       53,166       2,828       X        28-5284     2828

NORAM ENERGY CORP              SDCV  6.000% 3 655419AC3    1,243,125      12,750       X        28-5284    12750
                                                           1,837,875      18,850       X    X   28-5284    18850

NORDSON CORP                   COM            655663102       26,360         536       X        28-5284      536

NORDSTROM INC                  COM            655664100   28,929,061     792,577       X        28-5284   777902       600     14075
                                                          15,839,139     433,949       X    X   28-5284   419888      4290      9771
                                                              39,493       1,082       X    X   28-1500     1082
                                                             722,189      19,786       X        28-4580    19272                 514
                                                             136,145       3,730       X    X   28-4580     3730
               COLUMN TOTAL                              117,397,065






                                                                                                                   FILE NO. 28-1235
 PAGE   131 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NORFOLK SOUTHERN CORP          COM            655844108   30,399,849     571,211       X        28-5284   558980       300     11931
                                                          30,347,002     570,218       X    X   28-5284   370451      3390    196377
                                                              80,096       1,505       X    X   28-1500     1505
                                                             446,356       8,387       X        28-4580     7965                 422
                                                              64,875       1,219       X    X   28-4580     1219

NORSK HYDRO A S                SPONSORED ADR  656531605       26,710       1,000       X    X   28-5284     1000

NORTEL NETWORKS CORP NEW       COM            656568102      209,496      93,525       X        28-5284    93525
                                                              34,722      15,501       X    X   28-5284    10750                4751
                                                                 448         200       X    X   28-4580      200

NORTH AMERN GALVANZNG & CTNG   COM            65686Y109    4,392,728     790,059       X        28-5284   790059

NORTH AMERN PALLADIUM LTD      COM            656912102        8,700       1,000       X    X   28-5284     1000

NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106    1,521,941      41,245       X        28-5284    41245
                                                             362,395       9,821       X    X   28-5284     3555                6266

NORTH FORK BANCORPORATION NY   COM            659424105    5,448,762     180,602       X        28-5284   180602
                                                             749,181      24,832       X    X   28-5284    13450      7282      4100
                                                              15,387         510       X    X   28-1500      510

NORTH PITTSBURGH SYS INC       COM            661562108       96,184       3,490       X        28-5284     3490
                                                              27,560       1,000       X    X   28-5284     1000

NORTHEAST UTILS                COM            664397106        2,170         105       X        28-5284      105
                                                               5,168         250       X    X   28-5284      250

NORTHERN TR CORP               COM            665859104    3,427,936      61,988       X        28-5284    61988
                                                             792,891      14,338       X    X   28-5284    11488        50      2800

NORTHFIELD LABS INC            COM            666135108        9,890       1,000       X        28-5284     1000
                                                               2,967         300       X        28-1500      300

NORTHRIM BANCORP INC           COM            666762109    7,238,917     288,518       X        28-1500   288518

NORTHROP GRUMMAN CORP          COM            666807102    2,450,872      38,259       X        28-5284    38031                 228
                                                           4,827,305      75,356       X    X   28-5284    75356
                                                             404,731       6,318       X    X   28-1500     6318
                                                              19,218         300       X        28-4580      300
                                                              95,962       1,498       X    X   28-4580     1498
               COLUMN TOTAL                               93,510,419






                                                                                                                   FILE NO. 28-1235
 PAGE   132 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NORTHSTAR RLTY FIN CORP        COM            66704R100       50,442       4,200       X    X   28-1500     4200

NORTHWEST BANCORP INC PA       COM            667328108        9,540         360       X        28-5284      360
                                                              37,975       1,433       X    X   28-5284     1433

NORTHWEST NAT GAS CO           COM            667655104      106,054       2,864       X        28-5284     2864
                                                             155,526       4,200       X    X   28-5284     4200
                                                               7,406         200       X    X   28-1500      200

NORTHWESTERN CORP              COM NEW        668074305        3,263          95       X        28-5284       95
                                                              10,305         300       X    X   28-5284      300

NORWOOD FINANCIAL CORP         COM            669549107      143,646       4,566       X        28-5284     4566
                                                               8,243         262       X    X   28-5284      262

NOVA CHEMICALS CORP            COM            66977W109       40,306       1,400       X        28-5284     1400
                                                              14,395         500       X    X   28-5284      500

NOVARTIS A G                   SPONSORED ADR  66987V109      228,405       4,236       X        28-5284     3236                1000
                                                           1,207,323      22,391       X    X   28-5284    18316                4075
                                                              23,509         436       X    X   28-1500      436

NOVASTAR FINL INC              COM            669947400       60,059       1,900       X        28-5284     1900
                                                               9,483         300       X    X   28-1500      300

NOVATEL INC                    COM            669954109    1,098,927      32,170       X    X   28-5284    32170

NOVELIS INC                    COM            67000X106        1,446          67       X        28-5284       67
                                                               2,417         112       X    X   28-5284      112

NOVAVAX INC                    COM            670002104       10,080       2,000       X        28-5284     2000

NOVELL INC                     COM            670006105       18,564       2,800       X        28-5284     2800
                                                             169,801      25,611       X    X   28-5284    25611

NOVELLUS SYS INC               COM            670008101      112,187       4,542       X        28-5284     2542                2000

NOVO-NORDISK A S               ADR            670100205      396,484       6,235       X        28-5284     6235
                                                           1,445,401      22,730       X    X   28-5284    22730

NSTAR                          COM            67019E107       26,884         940       X        28-5284      940
                                                              47,590       1,664       X    X   28-5284     1664
               COLUMN TOTAL                                5,445,661






                                                                                                                   FILE NO. 28-1235
 PAGE   133 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NUCOR CORP                     COM            670346105    1,819,003      33,530       X        28-5284    33530
                                                           1,707,682      31,478       X    X   28-5284    31078                 400
                                                              10,850         200       X    X   28-1500      200

NUVEEN FLTNG RTE INCM OPP FD   COM SHS        6706EN100       27,930       2,100       X        28-5284     2100

NUVEEN DIVERSIFIED DIV INCM    COM            6706EP105       16,890       1,000       X    X   28-5284     1000

NUVEEN PREM INCOME MUN FD 4    COM            6706K4105       15,305       1,284       X        28-5284     1284
                                                               8,904         747       X    X   28-5284      747

NUVEEN CONN PREM INCOME MUN    SH BEN INT     67060D107       13,810       1,000       X        28-5284     1000

NUVEEN PA PREM INCOME MUN FD   COM            67061F101       76,762       5,923       X        28-5284     5923
                                                             249,454      19,248       X    X   28-5284    19248
                                                             665,431      51,345       X        28-4580    51345

NUVEEN SELECT MAT MUN FD       SH BEN INT     67061T101       25,888       2,725       X        28-5284     2725
                                                              21,850       2,300       X    X   28-5284     2300

NUVEEN ARIZ PREM INCOME MUN    COM            67061W104      313,289      23,734       X    X   28-5284    23734

NUVEEN INVT QUALITY MUN FD I   COM            67062E103      110,045       7,777       X    X   28-5284     7777

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67062F100        1,362         100       X        28-5284      100

NUVEEN MUN ADVANTAGE FD INC    COM            67062H106      188,738      12,667       X        28-5284    12667
                                                               4,470         300       X    X   28-5284      300

NUVEEN MUN INCOME FD INC       COM            67062J102       80,880       8,000       X        28-5284     8000
                                                             126,072      12,470       X    X   28-5284    12470

NUVEEN INSD QUALITY MUN FD I   COM            67062N103       16,692       1,200       X    X   28-5284     1200

NUVEEN PERFORMANCE PLUS MUN    COM            67062P108      141,115       9,882       X        28-5284     9882

NUVEEN PREM INCOME MUN FD      COM            67062T100       60,357       4,618       X        28-5284     4618
                                                              19,605       1,500       X    X   28-5284     1500

NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103      175,974      12,761       X        28-5284    12761

NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106      108,978       8,200       X    X   28-5284     8200
               COLUMN TOTAL                                6,007,336






                                                                                                                   FILE NO. 28-1235
 PAGE   134 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NUVEEN PREM INCOME MUN FD 2    COM            67063W102       35,564       2,666       X    X   28-5284     2666

NUVEEN VA PREM INCOME MUN FD   COM            67064R102       14,300       1,000       X    X   28-5284     1000

NUVEEN TAX FREE ADV MUN FD     COM            670657105       13,610       1,000       X    X   28-5284     1000

NVIDIA CORP                    COM            67066G104       24,484       1,150       X        28-5284     1150
                                                              68,171       3,202       X    X   28-5284     3202
                                                              35,448       1,665       X    X   28-1500     1665

NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101       28,540       2,000       X        28-5284     2000

NUVEEN SR INCOME FD            COM            67067Y104       29,822       3,700       X    X   28-5284     3700

NUVEEN MUN HIGH INC OPP FD     COM            670682103       17,996       1,100       X        28-5284     1100
                                                             107,976       6,600       X    X   28-5284     6600

NUVEEN ARIZ DIVID ADVANTAG M   COM SH BEN INT 67069L100       18,283       1,188       X    X   28-5284     1188

NUVEEN MASS DIVID ADVANTAG M   COM SH BEN INT 67069P101       32,314       2,140       X    X   28-5284     2140

NUVEEN MD DIVID ADVANTAGE MU   COM SH BEN INT 67069R107       15,700       1,000       X        28-5284     1000

NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103       51,265       3,395       X        28-5284     3395
                                                              19,781       1,310       X    X   28-5284     1310

NUVEEN DIV ADVANTAGE MUN FD    COM            67070F100       18,352       1,142       X    X   28-5284     1142

NUVEEN INSD DIVID ADVANTAGE    COM            67071L106       49,421       3,510       X    X   28-5284     3510

NUVEEN QUALITY PFD INCOME FD   COM            67071S101       64,700       5,000       X        28-5284     5000
                                                             126,721       9,793       X    X   28-5284     9793

NUVEEN NEW JERSEY DIVID        COM            67071T109       49,170       3,300       X        28-5284     3300

NUVEEN PA DIVID ADVANTAGE MU   COM            67071W102      191,160      13,500       X    X   28-5284    13500

NUVEEN MD DIV ADV MUN FD 3     COM            67072A109       13,400       1,000       X    X   28-5284     1000

NUVEEN GA DIV ADV MUN FD 2     COM            67072B107      415,501      31,888       X    X   28-5284    31888

NUVEEN QUALITY PFD INCOME FD   COM            67072C105      198,121      14,525       X        28-5284    14225                 300
                                                              54,615       4,004       X    X   28-5284     4004
               COLUMN TOTAL                                1,694,415






                                                                                                                   FILE NO. 28-1235
 PAGE   135 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 INC FD 3    COM            67072W101       18,836       1,450       X        28-5284     1450

NUVEEN PFD & CONV INC FD       COM            67073B106       13,273       1,080       X        28-5284     1080
                                                              36,870       3,000       X    X   28-5284     3000

NUVEEN PFD & CONV INCOME FD    COM SHS        67073D102       12,280       1,000       X        28-5284     1000
                                                              23,221       1,891       X    X   28-5284     1891

OGE ENERGY CORP                COM            670837103       90,027       2,570       X        28-5284     2570
                                                             185,659       5,300       X    X   28-5284     4900                 400

OM GROUP INC                   COM            670872100       20,978         680       X        28-5284      680

NUVEEN INVTS INC               CL A           67090F106       17,220         400       X        28-5284      400
                                                             126,998       2,950       X    X   28-5284                         2950

NUVEEN TX ADV TOTAL RET STRG   COM            67090H102       11,595         511       X        28-5284      511
                                                               9,076         400       X    X   28-5284      400

NUVEEN MUN VALUE FD INC        COM            670928100    2,863,622     300,170       X        28-5284   300170
                                                             332,135      34,815       X    X   28-5284    34815
                                                               6,201         650       X        28-4580      650
                                                               3,816         400       X    X   28-4580      400

NUVEEN NJ INVT QUALITY MUN F   COM            670971100       63,705       4,650       X        28-5284     4650
                                                              77,761       5,676       X    X   28-5284     5676

NUVEEN PA INVT QUALITY MUN F   COM            670972108      244,185      18,856       X        28-5284    18856
                                                             386,855      29,873       X    X   28-5284    29873

NUVEEN SELECT QUALITY MUN FD   COM            670973106      150,995      10,100       X        28-5284    10100

NUVEEN CA SELECT QUALITY MUN   COM            670975101       87,420       6,000       X    X   28-5284                         6000

NUVEEN NY SELECT QUALITY MUN   COM            670976109       55,135       4,078       X    X   28-5284     4078

NUVEEN QUALITY INCOME MUN FD   COM            670977107      207,694      14,793       X        28-5284    14793
                                                             103,503       7,372       X    X   28-5284     7372

NUVEEN MICH QUALITY INCOME M   COM            670979103       57,160       4,000       X    X   28-5284     4000

NUVEEN OHIO QUALITY INCOME M   COM            670980101       44,899       2,950       X        28-5284     2950
                                                              16,575       1,089       X    X   28-5284     1089
               COLUMN TOTAL                                5,267,694






                                                                                                                   FILE NO. 28-1235
 PAGE   136 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
NUVEEN INSD MUN OPPORTUNITY    COM            670984103       33,672       2,400       X        28-5284     2400

NUVEEN CALIF QUALITY INCM MU   COM            670985100       85,020       6,000       X    X   28-5284                         6000

NUVEEN PREMIER MUN INCOME FD   COM            670988104       68,396       5,302       X        28-5284     5302

NUVEEN NJ PREM INCOME MUN FD   COM            67101N106      249,216      17,600       X        28-5284    17600
                                                              70,021       4,945       X    X   28-5284     4945

NUVEEN MICH PREM INCOME MUN    COM            67101Q109       14,660       1,000       X    X   28-5284     1000

OSI RESTAURANT PARTNERS INC    COM            67104A101       14,151         409       X    X   28-5284      409
                                                               7,716         223       X    X   28-1500      223

OSI PHARMACEUTICALS INC        COM            671040103        1,846          56       X        28-5284       56
                                                                 198           6       X    X   28-5284        6

OYO GEOSPACE CORP              COM            671074102        5,711         100       X        28-5284      100
                                                             199,885       3,500       X    X   28-5284     3500

OCCIDENTAL PETE CORP DEL       COM            674599105      628,119       6,125       X        28-5284     6125
                                                           1,763,347      17,195       X    X   28-5284     8095                9100

OCEANEERING INTL INC           COM            675232102       12,380         270       X        28-5284      270
                                                             531,310      11,588       X    X   28-5284    10988                 600

OCEANFIRST FINL CORP           COM            675234108       55,550       2,500       X        28-5284     1500                1000
                                                              19,998         900       X    X   28-5284                          900

ODYSSEY RE HLDGS CORP          COM            67612W108        6,983         265       X    X   28-5284      265

OFFICEMAX INC DEL              COM            67622P101       10,188         250       X        28-5284      250

OFFICE DEPOT INC               COM            676220106       97,128       2,556       X        28-5284     2556
                                                               1,292          34       X    X   28-5284       34
                                                              10,944         288       X    X   28-1500      288
                                                           2,523,200      66,400       X        28-11439   66400

OHIO CAS CORP                  COM            677240103      111,577       3,753       X        28-5284     3753
                                                              31,811       1,070       X    X   28-5284     1070
                                                             706,088      23,750       X    X   28-1500    23750

OHIO VY BANC CORP              COM            677719106        5,030         200       X        28-1500      200
               COLUMN TOTAL                                7,265,437






                                                                                                                   FILE NO. 28-1235
 PAGE   137 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
OIL SVC HOLDRS TR              DEPOSTRY RCPT  678002106      134,478         900       X        28-5284      900
                                                           1,628,678      10,900       X       28-11439    10900
                                                              20,769         139       X    X   28-4580       30                 109

OIL STS INTL INC               COM            678026105      821,006      23,950       X    X   28-5284    23950

OLD LINE BANCSHARES INC        COM            67984M100      357,600      30,000       X    X   28-5284    30000

OLD NATL BANCORP IND           COM            680033107      378,092      18,933       X        28-5284    18933

OLD REP INTL CORP              COM            680223104    2,845,309     133,145       X        28-5284   133145
                                                           4,417,008     206,692       X    X   28-5284   204317                2375
                                                              22,695       1,062       X        28-4580     1062

OLIN CORP                      COM PAR $1     680665205       29,190       1,628       X        28-5284     1628
                                                             242,414      13,520       X    X   28-5284    13520

OMNICARE INC                   DBCV  3.250%12 681904AL2      271,875       3,000       X        28-5284     3000

OMNICARE INC                   COM            681904108       30,207         637       X        28-5284      437                 200
                                                             230,935       4,870       X    X   28-5284     1770                3100
                                                              33,194         700       X        28-4580      700

OMNICOM GROUP INC              COM            681919106   43,701,852     490,536       X        28-5284   475056               15480
                                                          21,196,560     237,923       X    X   28-5284   207036     29025      1862
                                                             394,045       4,423       X        28-1500     3183      1240
                                                             101,563       1,140       X    X   28-4580      140      1000

OMEGA FINL CORP                COM            682092101       31,310       1,000       X        28-5284     1000
                                                              44,241       1,413       X    X   28-5284                         1413

OMEGA FLEX INC                 COM            682095104      112,701       5,621       X        28-5284     5621

OMNIVISION TECHNOLOGIES INC    COM            682128103       10,560         500       X        28-5284      500

OMNICELL INC                   COM            68213N109       27,640       2,000       X    X   28-5284     2000

ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103       74,025       1,500       X        28-5284     1500
                                                             215,906       4,375       X    X   28-5284     4375

ONEOK INC NEW                  COM            682680103        8,374         246       X        28-5284      246
                                                              54,464       1,600       X    X   28-5284     1600
               COLUMN TOTAL                               77,436,691






                                                                                                                   FILE NO. 28-1235
 PAGE   138 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ONLINE RES CORP                COM            68273G101        4,725         457       X        28-5284      457

ONSTREAM MEDIA CORP            COM            682875109       14,158      15,389       X        28-5284    15389

ON2 TECHNOLOGIES INC           COM            68338A107          690       1,000       X    X   28-5284     1000

ONVIA INC                      COM NEW        68338T403       83,947      15,869       X        28-1500    15869

ONYX PHARMACEUTICALS INC       COM            683399109        1,683         100       X        28-5284      100
                                                               8,415         500       X    X   28-5284      500

OPEN JT STK CO-VIMPEL COMMUN   SPONSORED ADR  68370R109       82,476       1,800       X        28-5284     1800

OPENWAVE SYS INC               COM NEW        683718308      103,860       9,000       X        28-5284     9000

OPSWARE INC                    COM            68383A101       82,194       9,975       X        28-1500     9975

OPTEUM INC                     CL A           68384A100       89,830       9,959       X    X   28-1500     9959

ORACLE CORP                    COM            68389X105   36,744,640   2,535,862       X        28-5284  2468361      2600     64901
                                                          18,544,708   1,279,828       X    X   28-5284  1184504     64420     30904
                                                             127,512       8,800       X        28-1500               8800
                                                             861,141      59,430       X        28-4580    57756                1674
                                                             406,227      28,035       X    X   28-4580    28035

OPTIONSXPRESS HLDGS INC        COM            684010101       29,720       1,275       X    X   28-5284     1275

ORASURE TECHNOLOGIES INC       COM            68554V108        9,520       1,000       X        28-5284     1000
                                                             160,098      16,817       X    X   28-5284     1000               15817
                                                                 371          39       X        28-1500       39

ORBITAL SCIENCES CORP          COM            685564106        4,842         300       X    X   28-5284      300

OREGON STL MLS INC             COM            686079104       48,127         950       X        28-5284      950
                                                              20,264         400       X    X   28-5284      400

O REILLY AUTOMOTIVE INC        COM            686091109        3,119         100       X    X   28-5284      100
                                                               7,049         226       X        28-1500       26       200

ORIENTAL FINL GROUP INC        COM            68618W100    4,333,296     339,600       X        28-1500   339600

ORIX CORP                      SPONSORED ADR  686330101          733           6       X    X   28-5284        6
               COLUMN TOTAL                               61,773,345






                                                                                                                   FILE NO. 28-1235
 PAGE   139 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ORTHOLOGIC CORP                COM            68750J107       55,080      34,000       X        28-1500    34000

OSCIENT PHARMACEUTICALS CORP   COM            68812R105          877       1,020       X        28-5284     1020

OSHKOSH TRUCK CORP             COM            688239201      190,080       4,000       X        28-5284     4000
                                                              92,664       1,950       X    X   28-5284     1650                 300

OTELCO INC                     UNIT 99/99/999 688823202       24,458       1,355       X    X   28-5284     1355

OVERSEAS SHIPHOLDING GROUP I   COM            690368105        5,915         100       X        28-5284      100
                                                              50,869         860       X    X   28-5284      860

OVERSTOCK COM INC DEL          COM            690370101        4,571         215       X        28-5284      215
                                                               2,126         100       X    X   28-5284      100

OWENS & MINOR INC NEW          COM            690732102        3,718         130       X        28-5284      130
                                                              28,600       1,000       X    X   28-5284                         1000

OWENS ILL INC                  COM NEW        690768403        3,352         200       X        28-5284      200
                                                             193,863      11,567       X    X   28-5284    11567

OWENS ILL INC                  PFD CONV $.01  690768502       14,000         400       X        28-5284      400

PAB BANKSHARES INC             COM            69313P101    8,180,700     442,200       X        28-1500   442200

PDF SOLUTIONS INC              COM            693282105       29,784       2,400       X    X   28-5284     2400

PDL BIOPHARMA INC              COM            69329Y104       36,820       2,000       X    X   28-5284     2000

PG&E CORP                      COM            69331C108       20,308         517       X        28-5284      517
                                                             118,233       3,010       X    X   28-5284     3010

PHH CORP                       COM NEW        693320202        3,360         122       X        28-5284       87                  35
                                                              22,307         810       X    X   28-5284      595                 215
                                                                 689          25       X    X   28-4580       25

P F CHANGS CHINA BISTRO INC    COM            69333Y108        3,802         100       X        28-5284      100

PICO HLDGS INC                 COM NEW        693366205           32           1       X        28-5284        1

PMA CAP CORP                   CL A           693419202      433,270      42,065       X        28-5284     2065               40000

PMC COML TR                    SH BEN INT     693434102       12,660       1,000       X    X   28-5284     1000
               COLUMN TOTAL                                9,532,138






                                                                                                                   FILE NO. 28-1235
 PAGE   140 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PMC-SIERRA INC                 COM            69344F106          705          75       X        28-5284       75

PMI GROUP INC                  COM            69344M101        4,458         100       X    X   28-5284      100
                                                               5,171         116       X    X   28-1500      116

PNC FINL SVCS GROUP INC        COM            693475105  103,567,482   1,475,951       X        28-5284  1453040        80     22831
                                                         170,220,140   2,425,825       X    X   28-5284  1465018     34100    926707
                                                           1,043,007      14,864       X        28-1500              14864
                                                           2,420,865      34,500       X        28-4580    33600                 900
                                                           5,651,071      80,534       X    X   28-4580    78834                1700

PNC FINL SVCS GROUP INC        PFD A CV $1.80 693475204            0          27       X    X   28-5284       27

PNC FINL SVCS GROUP INC        PFD CV D $1.80 693475501       96,057         821       X        28-5284      821
                                                              25,506         218       X    X   28-5284      218

POSCO                          SPONSORED ADR  693483109        4,616          69       X        28-5284       69
                                                              40,140         600       X    X   28-5284      600

PPG INDS INC                   COM            693506107   50,286,984     761,924       X        28-5284   754767                7157
                                                          43,058,598     652,403       X    X   28-5284   615962      3150     33291
                                                              47,124         714       X    X   28-1500      714
                                                             381,084       5,774       X        28-4580     5774
                                                           1,314,192      19,912       X    X   28-4580    19912

PPL CORP                       COM            69351T106   15,921,994     492,941       X        28-5284   488648       200      4093
                                                          20,242,604     626,706       X    X   28-5284   610886               15820
                                                              77,520       2,400       X        28-4580     2400
                                                              85,595       2,650       X    X   28-4580     2650

PAC-WEST TELECOM INC           COM            69371Y101          570       1,000       X        28-5284     1000

PACCAR INC                     COM            693718108       86,499       1,050       X    X   28-5284     1050

PACIFIC CAP BANCORP NEW        COM            69404P101       46,680       1,500       X    X   28-5284                         1500

PACIFIC ENERGY PARTNERS L P    COM UNIT       69422R105        9,774         300       X        28-5284      300
                                                              65,160       2,000       X    X   28-5284     2000

PACIFIC ETHANOL INC            COM            69423U107          578          25       X        28-5284       25
                                                               5,780         250       X    X   28-5284      250

PACIFIC PREMIER BANCORP        COM            69478X105    1,086,750      94,500       X        28-1500    94500
               COLUMN TOTAL                              415,796,704






                                                                                                                   FILE NO. 28-1235
 PAGE   141 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PACKAGING CORP AMER            COM            695156109        2,202         100       X        28-5284      100

PACTIV CORP                    COM            695257105       88,308       3,568       X    X   28-5284     3568

PALL CORP                      COM            696429307      172,032       6,144       X        28-5284     6144
                                                               5,600         200       X    X   28-5284      200

PALM INC NEW                   COM            696643105          644          40       X        28-5284       40
                                                              20,737       1,288       X    X   28-5284     1288

PALOMAR MED TECHNOLOGIES INC   COM NEW        697529303      738,293      16,180       X    X   28-5284    16180

PAN AMERICAN SILVER CORP       COM            697900108        8,995         500       X        28-5284      500
                                                              17,990       1,000       X    X   28-5284     1000

PAN PACIFIC RETAIL PPTYS INC   COM            69806L104       25,598         369       X        28-5284      369
                                                           1,478,622      21,315       X    X   28-5284    21315

PANERA BREAD CO                CL A           69840W108       20,172         300       X        28-5284      200                 100

PANTRY INC                     COM            698657103      739,389      12,850       X    X   28-5284    12850

PAPA JOHNS INTL INC            COM            698813102       99,666       3,002       X        28-5284     3002
                                                              35,391       1,066       X    X   28-5284     1066
                                                              35,258       1,062       X        28-1500     1062

PARAMETRIC TECHNOLOGY CORP     COM NEW        699173209        3,089         243       X        28-5284      243
                                                               1,017          80       X    X   28-5284       80

PARK NATL CORP                 COM            700658107      553,336       5,600       X        28-5284     5600

PARKE BANCORP INC              COM            700885106      349,186      16,992       X    X   28-5284    16992

PARKER DRILLING CO             COM            701081101       35,900       5,000       X    X   28-5284     5000
                                                              28,720       4,000       X       28-11439     4000

PARKER HANNIFIN CORP           COM            701094104      151,320       1,950       X        28-5284     1950
                                                             481,430       6,204       X    X   28-5284     6204

PARKWAY PPTYS INC              COM            70159Q104      227,500       5,000       X        28-5284                         5000
                                                              22,750         500       X    X   28-5284                          500
                                                              18,610         409       X    X   28-1500      409
               COLUMN TOTAL                                5,361,755






                                                                                                                   FILE NO. 28-1235
 PAGE   142 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PARTNERS TR FINL GROUP INC N   COM            70213F102       22,820       2,000       X        28-5284     2000

PATHMARK STORES INC NEW        COM            70322A101          941         100       X    X   28-5284      100

PATTERSON COMPANIES INC        COM            703395103      129,241       3,700       X        28-5284     3700
                                                             191,940       5,495       X    X   28-5284     5495
                                                             150,898       4,320       X    X   28-1500     4320

PATTERSON UTI ENERGY INC       COM            703481101        6,794         240       X        28-5284      240
                                                              11,324         400       X    X   28-5284      400
                                                              22,988         812       X    X   28-1500      812

PAYCHEX INC                    COM            704326107    7,495,815     192,299       X        28-5284   191674                 625
                                                           5,081,160     130,353       X    X   28-5284   124687                5666
                                                              20,270         520       X    X   28-4580      520

PAYLESS SHOESOURCE INC         COM            704379106       50,835       1,871       X        28-5284     1871
                                                             176,062       6,480       X    X   28-5284     6480

PCCW LTD                       SPONS ADR NEW  70454G207        1,238         170       X        28-5284      170

PEABODY ENERGY CORP            COM            704549104    1,099,892      19,729       X        28-5284    19579                 150
                                                           2,083,378      37,370       X    X   28-5284    36470                 900
                                                              85,855       1,540       X    X   28-4580     1540

PEAPACK-GLADSTONE FINL CORP    COM            704699107       96,052       3,710       X        28-5284     3710
                                                              52,039       2,010       X    X   28-5284     1210                 800

PEARSON PLC                    SPONSORED ADR  705015105        8,190         600       X        28-5284      600
                                                              40,950       3,000       X    X   28-5284     3000

PEDIATRIX MED GROUP            COM            705324101       64,553       1,425       X        28-5284     1425
                                                              26,365         582       X    X   28-5284      582

PEERLESS SYS CORP              COM            705536100      159,871      31,164       X    X   28-5284                        31164

PEGASUS COMMUNICATIONS CORP    CL A NEW       705904605       83,990      37,000       X    X   28-5284    37000

PENGROWTH ENERGY TR            TRUST UNIT A   706902301       19,272         800       X        28-5284      800
                                                             264,990      11,000       X    X   28-5284    11000
                                                               3,614         150       X    X   28-1500      150
               COLUMN TOTAL                               17,451,337






                                                                                                                   FILE NO. 28-1235
 PAGE   143 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 NATL GAMING INC           COM            707569109       23,268         600       X        28-5284      600
                                                              15,512         400       X    X   28-5284      400

PENN TREATY AMERN CORP         COM NEW        707874400       18,450       2,500       X        28-5284     2500

PENN VA CORP                   COM            707882106      160,724       2,300       X        28-5284     2300
                                                             121,591       1,740       X    X   28-5284     1740

PENN VA RESOURCES PARTNERS L   COM            707884102       64,512       2,400       X        28-5284     2400
                                                              69,888       2,600       X    X   28-5284     2600
                                                              26,880       1,000       X        28-4580     1000

PENNEY J C INC                 COM            708160106    2,205,889      32,675       X        28-5284    32285                 390
                                                             999,621      14,807       X    X   28-5284    14667                 140
                                                              24,101         357       X        28-4580      357
                                                             191,121       2,831       X    X   28-4580     2831

PENNS WOODS BANCORP INC        COM            708430103       47,715       1,240       X    X   28-5284                         1240
                                                           4,534,483     117,840       X        28-1500   117840

PENNSYLVANIA COMM BANCORP IN   COM            708677109      154,464       4,827       X        28-5284     4827

PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107      276,777       6,856       X        28-5284     6856
                                                           3,104,736      76,907       X    X   28-5284    42907               34000

PENTAIR INC                    COM            709631105      634,566      18,560       X        28-5284    18560
                                                             594,906      17,400       X    X   28-5284    17400

PEOPLES BANCORP INC            COM            709789101       50,310       1,686       X        28-5284     1686

PEOPLES BK BRIDGEPORT CONN     COM            710198102       88,695       2,700       X    X   28-5284                         2700

PEOPLES ENERGY CORP            COM            711030106       99,758       2,778       X        28-5284     2778
                                                              90,385       2,517       X    X   28-5284     2317                 200

PEP BOYS MANNY MOE & JACK      COM            713278109       13,220       1,127       X        28-5284     1127

PEPCO HOLDINGS INC             COM            713291102      603,106      25,577       X        28-5284    24392                1185
                                                             990,572      42,009       X    X   28-5284    37658                4351
                                                              33,201       1,408       X        28-4580     1408
                                                             138,839       5,888       X    X   28-4580     5888
               COLUMN TOTAL                               15,377,290






                                                                                                                   FILE NO. 28-1235
 PAGE   144 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PEPSI BOTTLING GROUP INC       COM            713409100       80,375       2,500       X        28-5284     2500
                                                             169,688       5,278       X    X   28-5284       78                5200

PEPSIAMERICAS INC              COM            71343P200       54,612       2,470       X        28-5284     2470
                                                             129,255       5,846       X    X   28-5284     5846

PEPSICO INC                    COM            713448108  168,967,690   2,814,252       X        28-5284  2734764       700     78788
                                                         109,618,570   1,825,759       X    X   28-5284  1731027     45307     49425
                                                             945,090      15,741       X        28-1500     4200     11541
                                                           2,116,950      35,259       X        28-4580    33969                1290
                                                           1,200,500      19,995       X    X   28-4580    19069       756       170

PERFICIENT INC                 COM            71375U101    1,103,130      89,250       X    X   28-5284    89250
                                                              13,781       1,115       X        28-1500     1115

PERFORMANCE FOOD GROUP CO      COM            713755106       36,456       1,200       X        28-5284                         1200

PERKINELMER INC                COM            714046109       23,701       1,134       X        28-5284     1134
                                                             309,320      14,800       X    X   28-5284    12700                2100
                                                               2,090         100       X    X   28-1500      100

PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        6,180         400       X        28-5284      400
                                                              92,793       6,006       X    X   28-5284     6006

PEROT SYS CORP                 CL A           714265105       11,338         783       X        28-5284      783

P T TELEKOMUNIKASI INDONESIA   SPONSORED ADR  715684106      770,400      24,000       X    X   28-5284    24000

PETRO-CDA                      COM            71644E102       18,964         400       X    X   28-5284                          400
                                                               9,529         201       X    X   28-4580       46                 155

PETROCHINA CO LTD              SPONSORED  ADR 71646E100       53,985         500       X        28-5284      500
                                                             188,948       1,750       X    X   28-5284     1750
                                                              20,730         192       X    X   28-4580      122                  70

PETROFUND ENERGY TRUST         TR UNIT        71648W108       14,988         600       X        28-5284      600
                                                             171,113       6,850       X    X   28-5284     6850

PETROHAWK ENERGY CORP          COM            716495106        4,599         365       X    X   28-5284      365

PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408       71,448         800       X        28-5284      800
               COLUMN TOTAL                              286,206,223






                                                                                                                   FILE NO. 28-1235
 PAGE   145 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PETROLEUM & RES CORP           COM            716549100      159,753       4,700       X        28-5284     4700
                                                              34,126       1,004       X    X   28-1500     1004

PETROLEUM DEV CORP             COM            716578109       30,160         800       X    X   28-5284      800

PETROLEUM GEO SVCS ASA NEW     SPONSORED ADR  716599105       13,180         210       X    X   28-5284                          210

PETSMART INC                   COM            716768106    2,118,733      82,763       X        28-5284    79063                3700
                                                             337,920      13,200       X    X   28-5284    13075                 125

PFIZER INC                     COM            717081103  147,658,078   6,291,354       X        28-5284  6122342       504    168508
                                                         124,601,338   5,308,962       X    X   28-5284  5099918     50000    159044
                                                           2,630,306     112,071       X        28-1500     8869    103202
                                                           3,242,733     138,165       X       28-11439   138165
                                                           1,968,711      83,882       X        28-4580    83882
                                                           2,756,317     117,440       X    X   28-4580   116184      1256

PFSWEB INC                     COM            717098107          505         500       X        28-5284      500

PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT 71712A206      168,696       2,400       X        28-5284     2400
                                                             203,841       2,900       X    X   28-5284     2500                 400

PHARMACEUTICAL PROD DEV INC    COM            717124101       30,484         868       X        28-5284      868
                                                           1,064,136      30,300       X    X   28-5284    30300
                                                              70,732       2,014       X    X   28-1500     2014

PHARMION CORP                  COM            71715B409       12,211         717       X        28-5284      717

PHASE FORWARD INC              COM            71721R406        7,534         654       X        28-1500      654

PHELPS DODGE CORP              COM            717265102   13,403,418     163,138       X        28-5284   157898       300      4940
                                                           4,554,293      55,432       X    X   28-5284    53258      1490       684
                                                              83,639       1,018       X    X   28-1500     1018
                                                              98,428       1,198       X        28-4580     1198
                                                              19,636         239       X    X   28-4580      239

PHILADELPHIA CONS HLDG CORP    COM            717528103        3,825         126       X        28-5284      126

PHOENIX COS INC NEW            COM            71902E109       49,407       3,509       X        28-5284     3006                 503
                                                              49,238       3,497       X    X   28-5284     2838       659

PHOTOMEDEX INC                 COM            719358103       52,860      33,669       X    X   28-5284                        33669
               COLUMN TOTAL                              305,424,238






                                                                                                                   FILE NO. 28-1235
 PAGE   146 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PHOTRONICS INC                 COM            719405102        8,880         600       X        28-5284      600
                                                             259,000      17,500       X       28-11439    17500

PIEDMONT NAT GAS INC           COM            720186105      410,670      16,900       X        28-5284    16900
                                                             196,830       8,100       X    X   28-5284     6000                2100
                                                             329,605      13,564       X    X   28-1500    13564

PIER 1 IMPORTS INC             COM            720279108        2,094         300       X    X   28-5284      300

PIKE ELEC CORP                 COM            721283109       28,890       1,500       X    X   28-5284     1500

PIMCO CORPORATE INCOME FD      COM            72200U100       20,454       1,400       X        28-5284     1400
                                                              75,972       5,200       X    X   28-5284     5200

PIMCO MUN INCOME FD II         COM            72200W106       78,075       5,333       X    X   28-5284     5333

PIMCO STRATEGIC GBL GOV FD I   COM            72200X104       22,932       2,184       X        28-5284     2184

PIMCO CORPORATE OPP FD         COM            72201B101      238,085      14,005       X        28-5284    14005
                                                             170,000      10,000       X    X   28-5284    10000

PIMCO HIGH INCOME FD           COM SHS        722014107       20,022       1,333       X        28-5284     1333
                                                              75,100       5,000       X    X   28-5284     5000

PINNACLE WEST CAP CORP         COM            723484101      335,244       8,400       X        28-5284     8400
                                                             298,128       7,470       X    X   28-5284     7470
                                                             103,766       2,600       X    X   28-4580     2600

PIONEER DRILLING CO            COM            723655106        3,088         200       X    X   28-4580      200

PIONEER HIGH INCOME TR         COM            72369H106       86,250       5,000       X        28-5284     5000

PIONEER MUN HIGH INC ADV TR    COM            723762100       56,240       4,000       X        28-5284     4000

PIONEER MUN HIGH INCOME TR     COM SHS        723763108       13,260       1,000       X    X   28-5284     1000

PIONEER NAT RES CO             COM            723787107      132,733       2,860       X        28-5284     2860
                                                             116,025       2,500       X    X   28-5284      200                2300

PIONEER TAX ADVNTAGE BALANC    COM            72388R101       17,879       1,450       X    X   28-1500     1450
               COLUMN TOTAL                                3,099,222






                                                                                                                   FILE NO. 28-1235
 PAGE   147 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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      231,129       3,776       X        28-5284     3776
                                                               9,182         150       X    X   28-5284      136                  14
                                                                  61           1       X        28-4580        1

PITNEY BOWES INC               COM            724479100   17,354,425     420,204       X        28-5284   416804       100      3300
                                                          29,981,983     725,956       X    X   28-5284   711520      3900     10536
                                                              66,617       1,613       X    X   28-1500     1613
                                                             643,619      15,584       X        28-4580    13584                2000
                                                             649,277      15,721       X    X   28-4580    15121                 600

PIXELWORKS INC                 COM            72581M107        5,733       2,100       X    X   28-5284     2100
                                                              30,803      11,283       X        28-1500    11283

PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105        8,734         200       X        28-5284      200
                                                             410,498       9,400       X    X   28-5284     9400

PLAINS EXPL& PRODTN CO         COM            726505100       49,053       1,210       X        28-5284     1210

PLAYBOY ENTERPRISES INC        CL B           728117300       29,940       3,000       X    X   28-5284     3000

PLAYTEX PRODS INC              COM            72813P100          250          24       X        28-5284       24

PLEXUS CORP                    COM            729132100      211,726       6,189       X        28-5284     6189

PLUG POWER INC                 COM            72919P103          887         190       X        28-5284      190
                                                               2,335         500       X    X   28-5284      500

PLUM CREEK TIMBER CO INC       COM            729251108      840,853      23,686       X        28-5284    23686
                                                           2,125,137      59,863       X    X   28-5284    59863
                                                             126,025       3,550       X    X   28-1500     3550
                                                              71,000       2,000       X    X   28-4580     2000

POGO PRODUCING CO              COM            730448107       49,235       1,068       X        28-5284     1068
                                                               6,915         150       X    X   28-5284      150

POLO RALPH LAUREN CORP         CL A           731572103       29,317         534       X        28-5284      534

POLYMEDICA CORP                COM            731738100        3,776         105       X    X   28-5284      105

POOL CORPORATION               COM            73278L105       21,815         500       X        28-5284      500
                                                             834,206      19,120       X    X   28-5284    19120
               COLUMN TOTAL                               53,794,531






                                                                                                                   FILE NO. 28-1235
 PAGE   148 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
POPULAR INC                    COM            733174106      421,824      21,970       X        28-5284    21970
                                                              72,960       3,800       X    X   28-5284     3800

PORTEC RAIL PRODS INC          COM            736212101       26,657       1,900       X    X   28-5284                         1900

PORTFOLIO RECOVERY ASSOCS IN   COM            73640Q105      637,515      13,950       X    X   28-5284    13950

POST PPTYS INC                 COM            737464107       65,607       1,447       X        28-5284     1447
                                                              90,680       2,000       X    X   28-5284     2000

POTASH CORP SASK INC           COM            73755L107       47,284         550       X        28-5284      550
                                                              17,194         200       X    X   28-1500      200

POTLATCH CORP NEW              COM            737630103       31,446         833       X        28-5284      833
                                                              52,775       1,398       X    X   28-1500     1398

POWER INTEGRATIONS INC         COM            739276103        1,748         100       X        28-5284      100

POWER-ONE INC                  COM            739308104        6,600       1,000       X        28-5284     1000

POWERSHARES ETF TRUST          HI YLD EQ DVDN 73935X302       10,290         700       X        28-5284      700
                                                             133,226       9,063       X    X   28-5284     9063

POWERSHARES ETF TRUST          GOLDEN DRG USX 73935X401       46,487       2,900       X    X   28-1500     2900

POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500       60,737       3,195       X        28-5284     3195
                                                             114,269       6,011       X    X   28-5284     6011

POWERSHARES ETF TRUST          WATER RESOURCE 73935X575       64,630       3,877       X        28-5284     3877
                                                             565,213      33,906       X    X   28-5284    33906

POWERSHARES ETF TRUST          LX NANOTCH PTF 73935X633        3,468         200       X        28-5284      200

POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716      223,960      13,800       X        28-5284    13800
                                                              11,360         700       X    X   28-5284      700
                                                               9,737         600       X    X   28-4580      600

POWERWAVE TECHNOLOGIES INC     COM            739363109       72,960       8,000       X        28-5284     8000

POZEN INC                      COM            73941U102        2,112         300       X    X   28-5284      300
               COLUMN TOTAL                                2,790,739






                                                                                                                   FILE NO. 28-1235
 PAGE   149 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PRAXAIR INC                    COM            74005P104   29,478,816     545,904       X        28-5284   504549       500     40855
                                                          10,349,802     191,663       X    X   28-5284   158983     11765     20915
                                                             569,214      10,541       X        28-4580    10308                 233
                                                             176,850       3,275       X    X   28-4580     3091                 184

PRE PAID LEGAL SVCS INC        COM            740065107       69,000       2,000       X    X   28-5284     2000

PRECISION CASTPARTS CORP       COM            740189105      296,708       4,965       X        28-5284     2965                2000
                                                           1,526,748      25,548       X    X   28-5284    25548

PRECISION DRILLING TR          TR UNIT        740215108        6,640         200       X    X   28-5284      200
                                                              49,800       1,500       X    X   28-1500     1500

PREFERRED INCOME STRATEGIES    COM            74038E100        1,896         100       X        28-5284      100
                                                              37,920       2,000       X    X   28-5284     2000

PREMIER FINL BANCORP INC       COM            74050M105       13,561         920       X        28-1500      920

PREMIUM STD FARMS INC          COM            74060C105       50,946       3,139       X        28-5284     3139

PRESIDENTIAL LIFE CORP         COM            740884101       36,870       1,500       X        28-5284                         1500

PRICE T ROWE GROUP INC         COM            74144T108    3,041,777      80,449       X        28-5284    70809                9640
                                                           1,057,281      27,963       X    X   28-5284    22803        60      5100
                                                              45,372       1,200       X    X   28-1500     1200

PRIDE INTL INC DEL             COM            74153Q102        1,156          37       X        28-5284       37
                                                               3,123         100       X    X   28-4580      100

PRIMEWEST ENERGY TR            TR UNIT NEW    741930309       20,986         700       X        28-5284      700
                                                             275,816       9,200       X    X   28-5284     9200

PRINCIPAL FINANCIAL GROUP IN   COM            74251V102      557,557      10,019       X        28-5284    10019
                                                             489,052       8,788       X    X   28-5284     8788

PRO-DEX INC COLO               COM            74265M106       61,528      35,159       X    X   28-5284                        35159

PROCTER & GAMBLE CO            COM            742718109  552,723,214   9,941,065       X        28-5284  9751917       900    188248
                                                         329,975,380   5,934,809       X    X   28-5284  5723949     39466    171394
                                                          15,509,564     278,949       X        28-1500     3790    275159
                                                           5,683,932     102,229       X        28-4580   101793                 436
                                                           5,034,858      90,555       X    X   28-4580    90185       300        70
               COLUMN TOTAL                              957,145,367






                                                                                                                   FILE NO. 28-1235
 PAGE   150 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
PROGENICS PHARMACEUTICALS IN   COM            743187106        1,203          50       X        28-5284       50
                                                              76,992       3,200       X    X   28-5284     3200

PROGRESS ENERGY INC            COM            743263105      928,307      21,654       X        28-5284    20674                 980
                                                           1,233,241      28,767       X    X   28-5284    28240                 527

PROGRESS SOFTWARE CORP         COM            743312100        9,364         400       X        28-4580      400

PROGRESSIVE CORP OHIO          COM            743315103    2,133,621      82,988       X        28-5284    40988               42000
                                                             565,723      22,004       X    X   28-5284     5604               16400

PROLOGIS                       SH BEN INT     743410102      311,521       5,977       X        28-5284     5977
                                                             405,181       7,774       X    X   28-5284     7774

PROSPECT STREET INCOME SHS I   COM            743590101        3,378         600       X        28-5284      600

PROSPERITY BANCSHARES INC      COM            743606105       15,458         470       X        28-5284      470

PROTECTIVE LIFE CORP           COM            743674103      163,543       3,508       X        28-5284     3508
                                                              11,655         250       X    X   28-5284                          250

PROVIDENCE SVC CORP            COM            743815102       97,538       3,582       X    X   28-5284                         3582

PROVIDENT BANKSHARES CORP      COM            743859100      149,636       4,112       X        28-5284     4112
                                                             145,560       4,000       X    X   28-5284               4000

PROVIDENT ENERGY TR            TR UNIT        74386K104      110,402       8,925       X        28-5284     8925
                                                             377,285      30,500       X    X   28-5284    27750                2750

PROVIDENT FINL SVCS INC        COM            74386T105       68,174       3,798       X        28-5284     1900                1898
                                                             132,040       7,356       X    X   28-5284     6256                1100

PRUDENTIAL FINL INC            COM            744320102    2,209,788      28,440       X        28-5284    28068                 372
                                                             887,723      11,425       X    X   28-5284    11392        33
                                                               6,061          78       X        28-4580       78

PSYCHIATRIC SOLUTIONS INC      COM            74439H108       14,330         500       X    X   28-5284      500

PUBLIC SVC ENTERPRISE GROUP    COM            744573106    9,106,774     137,731       X        28-5284   137181                 550
                                                          12,264,599     185,490       X    X   28-5284   177468                8022
                                                             680,044      10,285       X        28-4580    10285
                                                              64,401         974       X    X   28-4580      974
               COLUMN TOTAL                               32,173,542






                                                                                                                   FILE NO. 28-1235
 PAGE   151 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 STORAGE INC             COM            74460D109      246,675       3,250       X        28-5284     3250

PUBLIC STORAGE INC             COM A DP1/1000 74460D729       40,344       1,511       X        28-5284     1511
                                                                 160           6       X    X   28-5284        6

PUGET ENERGY INC NEW           COM            745310102      101,042       4,704       X        28-5284     3504                1200
                                                              97,004       4,516       X    X   28-5284     4516

PULTE HOMES INC                COM            745867101      309,493      10,750       X        28-5284      750               10000
                                                              27,811         966       X    X   28-5284      966
                                                           1,456,774      50,600       X       28-11439    50600

PURECYCLE CORP                 COM NEW        746228303          214          20       X    X   28-1500       20

PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107       37,750       5,000       X    X   28-5284     5000

PUTNAM HIGH YIELD MUN TR       SH BEN INT     746781103       13,620       2,000       X    X   28-5284     2000

PUTNAM INVT GRADE MUN TR       COM            746805100       15,088       1,600       X    X   28-5284     1600

PUTNAM MANAGED MUN INCOM TR    COM            746823103       10,755       1,500       X        28-5284     1500

PUTNAM MUN BD FD INC           SH BEN INT     74683V100       47,360       4,000       X        28-5284     4000
                                                              15,025       1,269       X    X   28-5284     1269

PUTNAM PREMIER INCOME TR       SH BEN INT     746853100       37,563       6,250       X        28-5284     6250
                                                             122,141      20,323       X    X   28-5284     4135     16188

PUTNAM MASTER INTER INCOME T   SH BEN INT     746909100        5,980       1,000       X    X   28-5284     1000

PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103       55,250       5,000       X        28-5284     5000
                                                               8,288         750       X    X   28-5284      750

QLT INC                        COM            746927102        2,832         400       X    X   28-5284      400

QLOGIC CORP                    COM            747277101      654,568      37,968       X        28-5284    37968
                                                              16,068         932       X    X   28-5284      932
                                                               8,620         500       X        28-4580      500

QUAKER CHEM CORP               COM            747316107       74,800       4,000       X        28-5284     4000
                                                              28,050       1,500       X    X   28-5284     1500
               COLUMN TOTAL                                3,433,275






                                                                                                                   FILE NO. 28-1235
 PAGE   152 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
QUALCOMM INC                   COM            747525103   23,200,690     579,004       X        28-5284   563444       600     14960
                                                          19,383,221     483,734       X    X   28-5284   434569      3160     46005
                                                               8,014         200       X        28-1500                200
                                                             645,568      16,111       X        28-4580    15607                 504
                                                             123,255       3,076       X    X   28-4580     2898                 178

QUALITY SYS INC                COM            747582104        4,934         134       X        28-5284      134
                                                             294,560       8,000       X    X   28-5284     8000

QUANTA SVCS INC                SDCV  4.500%10 74762EAC6      166,375       1,000       X        28-5284     1000

QUANTA SVCS INC                COM            74762E102        6,932         400       X        28-5284      400

QUANTUM CORP                   COM DSSG       747906204       62,898      24,007       X        28-5284    24007
                                                              19,480       7,435       X    X   28-5284     1035                6400

QUEENSTAKE RES LTD YUKON       COM            748314101       45,600     120,000       X        28-5284   120000

QUEST DIAGNOSTICS INC          COM            74834L100    3,218,723      53,717       X        28-5284    53417                 300
                                                             867,881      14,484       X    X   28-5284    12484                2000
                                                             137,816       2,300       X    X   28-1500     2300
                                                              23,968         400       X    X   28-4580      400

QUESTAR CORP                   COM            748356102      313,106       3,890       X        28-5284     3890
                                                           3,006,865      37,357       X    X   28-5284    35357                2000

QUIKSILVER INC                 COM            74838C106        6,090         500       X        28-5284      500
                                                              24,360       2,000       X    X   28-5284     2000

QUIGLEY CORP                   COM NEW        74838L304      110,040      12,000       X        28-5284    12000

QWEST COMMUNICATIONS INTL IN   COM            749121109       19,675       2,432       X        28-5284     2432
                                                             299,832      37,062       X    X   28-5284    32462                4600
                                                               7,702         952       X    X   28-1500      952
                                                               2,791         345       X        28-4580      345

QUOVADX INC                    COM            74913K106          937         363       X    X   28-5284      363

RAIT INVT TR                   COM            749227104       12,293         421       X        28-5284      421
                                                              11,680         400       X    X   28-5284      400

RGC RES INC                    COM            74955L103       21,403         850       X    X   28-5284                          850
                                                              18,784         746       X        28-1500      746
               COLUMN TOTAL                               52,065,473






                                                                                                                   FILE NO. 28-1235
 PAGE   153 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
R H DONNELLEY CORP             COM NEW        74955W307       34,983         647       X        28-5284      647
                                                              22,763         421       X    X   28-5284      421
                                                               4,326          80       X    X   28-4580       80

RMK ADVANTAGE INCOME FD INC    COM            74963L103          289          17       X        28-5284       17

RPC INC                        COM            749660106        4,856         200       X    X   28-5284      200

RPM INTL INC                   COM            749685103        8,046         447       X        28-5284      447
                                                             162,630       9,035       X    X   28-5284     2400                6635
                                                              25,200       1,400       X    X   28-4580     1400

RSA SEC INC                    COM            749719100        5,420         200       X        28-5284      200
                                                              14,228         525       X    X   28-5284      525

RTI INTL METALS INC            COM            74973W107      111,680       2,000       X    X   28-5284     2000

RF MICRODEVICES INC            COM            749941100        2,985         500       X        28-5284      500
                                                              78,607      13,167       X        28-1500    13167
                                                               4,060         680       X        28-4580      680

RACKABLE SYS INC               COM            750077109        7,898         200       X    X   28-5284      200

RADIAN GROUP INC               COM            750236101        5,251          85       X        28-5284       85

RADIO ONE INC                  CL A           75040P108       34,500       4,600       X        28-5284     4600

RADIOSHACK CORP                COM            750438103       12,180         870       X        28-5284      870
                                                              61,894       4,421       X    X   28-5284     4421

RAILAMERICA INC                COM            750753105        5,230         500       X    X   28-5284      500

RAINIER PAC FINL GROUP INC     COM            75087U101       27,795       1,500       X        28-5284     1500

RAMBUS INC DEL                 COM            750917106        2,281         100       X        28-5284      100

RALCORP HLDGS INC NEW          COM            751028101       62,647       1,473       X    X   28-5284     1473

RAMCO-GERSHENSON PPTYS TR      COM SH BEN INT 751452202       53,860       2,000       X        28-4580     2000

RANDGOLD RES LTD               ADR            752344309       21,000       1,000       X        28-5284     1000

RANGE RES CORP                 COM            75281A109       36,734       1,351       X        28-5284     1351
               COLUMN TOTAL                                  811,343






                                                                                                                   FILE NO. 28-1235
 PAGE   154 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RASER TECHNOLOGIES INC         COM            754055101        3,374         350       X        28-5284      350

RAVEN INDS INC                 COM            754212108       19,373         615       X    X   28-5284      615

RAYMOND JAMES FINANCIAL INC    COM            754730109       79,943       2,641       X        28-5284     2641

RAYONIER INC                   COM            754907103      112,214       2,960       X        28-5284     2960
                                                             183,219       4,833       X    X   28-5284     4249                 584

RAYTHEON CO                    COM NEW        755111507    8,454,617     189,693       X        28-5284   157712               31981
                                                          18,295,807     410,496       X    X   28-5284   404401      1750      4345
                                                             111,425       2,500       X        28-1500               2500
                                                               6,151         138       X        28-4580      138
                                                             198,515       4,454       X    X   28-4580     3404      1050

RBC BEARINGS INC               COM            75524B104       18,864         831       X        28-5284      831

READERS DIGEST ASSN INC        COM            755267101       53,397       3,825       X    X   28-5284     3825

REALNETWORKS INC               COM            75605L104       36,915       3,450       X        28-5284     3450

REALTY INCOME CORP             COM            756109104       30,660       1,400       X        28-5284     1400
                                                               9,855         450       X    X   28-5284      450

REAVES UTIL INCOME FD          COM SH BEN INT 756158101        5,973         306       X        28-5284      306

RECKSON ASSOCS RLTY CORP       COM            75621K106        9,848         238       X        28-5284      238

RED HAT INC                    COM            756577102       17,597         752       X        28-5284      752
                                                              45,630       1,950       X    X   28-5284     1950
                                                             140,400       6,000       X       28-11439     6000

REDBACK NETWORKS INC           COM NEW        757209507          257          14       X        28-5284       14

REDDY ICE HLDGS INC            COM            75734R105      114,448       5,624       X    X   28-1500     5624

REDWOOD TR INC                 COM            758075402       78,470       1,607       X        28-5284     1257                 350
                                                              14,649         300       X    X   28-5284      300

REED ELSEVIER N V              SPONSORED ADR  758204101          810          27       X        28-5284       27
                                                               9,000         300       X    X   28-5284      300
               COLUMN TOTAL                               28,051,411






                                                                                                                   FILE NO. 28-1235
 PAGE   155 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
REGAL ENTMT GROUP              CL A           758766109      121,920       6,000       X    X   28-5284                         6000
                                                             103,632       5,100       X    X   28-1500     5100

REGENCY CTRS CORP              COM            758849103        4,972          80       X        28-5284       80

REGENT COMMUNICATIONS INC DE   COM            758865109    1,875,314     458,512       X        28-5284   458512

REGIONS FINANCIAL CORP NEW     COM            7591EP100    2,870,113      86,658       X        28-5284    75058               11600
                                                             221,838       6,698       X    X   28-5284     6498                 200
                                                           7,346,016     221,800       X        28-1500   221800
                                                               6,193         187       X    X   28-1500      187

RELIANCE STEEL & ALUMINUM CO   COM            759509102        9,705         117       X        28-5284      117

RELIANT ENERGY INC             COM            75952B105       40,900       3,414       X        28-5284     3414
                                                              36,192       3,021       X    X   28-5284     3021

RELM WIRELESS CORP             COM            759525108          933         150       X        28-5284      150
                                                             126,956      20,411       X    X   28-5284                        20411

REMINGTON OIL & GAS CORP       COM            759594302       13,191         300       X        28-5284      300

RENASANT CORP                  COM            75970E107      188,636       4,675       X    X   28-1500     4675

RENT WAY INC                   COM            76009U104          236          32       X        28-5284       32
                                                                 738         100       X    X   28-5284      100

RENTECH INC                    COM            760112102        6,975       1,500       X        28-5284     1500
                                                               4,650       1,000       X    X   28-5284     1000

REPSOL YPF S A                 SPONSORED ADR  76026T205        5,612         200       X        28-5284      200

REPUBLIC BANCORP KY            CL A           760281204      303,067      14,712       X        28-5284    14712
                                                             128,111       6,219       X        28-1500     1589      4630
                                                             524,620      25,467       X    X   28-4580    25467

REPUBLIC BANCORP INC           COM            760282103       18,882       1,524       X        28-5284     1524
                                                                 359          29       X        28-1500       29

REPUBLIC FIRST BANCORP INC     COM            760416107       46,246       3,388       X        28-5284     3388
                                                             206,006      15,092       X    X   28-5284              15092
                                                              33,634       2,464       X        28-4580     2464
               COLUMN TOTAL                               14,245,647






                                                                                                                   FILE NO. 28-1235
 PAGE   156 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
REPUBLIC PROPERTY TR           COM            760737106      345,800      35,000       X        28-5284    35000

REPUBLIC SVCS INC              COM            760759100        8,068         200       X        28-5284      200
                                                               8,068         200       X    X   28-5284      200

RES-CARE INC                   COM            760943100    1,104,000      55,200       X        28-5284    55200
                                                               5,540         277       X        28-1500      277

RESMED INC                     COM            761152107       18,780         400       X        28-5284      400
                                                           2,306,184      49,120       X    X   28-5284    49120

RESOURCE AMERICA INC           CL A           761195205       56,807       2,982       X    X   28-5284     2982

RESPIRONICS INC                COM            761230101      515,695      15,070       X        28-5284    15070
                                                             261,783       7,650       X    X   28-5284     4250                3400

RETAIL HOLDRS TR               DEP RCPT       76127U101       18,922         200       X        28-5284      200

REUNION INDS INC               COM            761312107        1,890       4,500       X        28-5284     4500

REUTERS GROUP PLC              SPONSORED ADR  76132M102       99,261       2,335       X        28-5284     2335
                                                              65,040       1,530       X    X   28-5284     1530

REXAM PLC                      SP ADR NEW2001 761655406          588          12       X    X   28-5284       12

REYNOLDS & REYNOLDS CO         CL A           761695105      221,867       7,234       X        28-5284     7234
                                                             972,239      31,700       X    X   28-5284    30800                 900

REYNOLDS AMERICAN INC          COM            761713106      244,667       2,122       X        28-5284     2122
                                                             367,576       3,188       X    X   28-5284     1823                1365

RINKER GROUP LTD               SPONSORED ADR  76687M101        4,547          75       X    X   28-5284       75

RIO NARCEA GOLD MINES INC      COM            766909105       11,058       5,529       X    X   28-5284     5529

RIO TINTO PLC                  SPONSORED ADR  767204100       64,171         306       X        28-5284      306
                                                             673,169       3,210       X    X   28-5284     1025                2185

RITE AID CORP                  COM            767754104      208,311      49,130       X        28-5284    49130
                                                               5,936       1,400       X    X   28-5284      800                 600

RIVIERA HLDGS CORP             COM            769627100        2,404         119       X    X   28-4580       27                  92
               COLUMN TOTAL                                7,592,371






                                                                                                                   FILE NO. 28-1235
 PAGE   157 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ROBERT HALF INTL INC           COM            770323103    2,616,390      62,295       X        28-5284    62295
                                                             313,194       7,457       X    X   28-5284     7367        90

ROCKWELL AUTOMATION INC        COM            773903109    1,446,969      20,094       X        28-5284    18974                1120
                                                           2,956,011      41,050       X    X   28-5284    37075                3975
                                                              45,366         630       X    X   28-1500      630
                                                              10,513         146       X        28-4580      146

ROCKWELL COLLINS INC           COM            774341101    1,070,860      19,167       X        28-5284    18047                1120
                                                           1,476,365      26,425       X    X   28-5284    21950                4475
                                                               7,822         140       X        28-4580      140

ROCKY BRANDS INC               COM            774515100      123,250       5,800       X    X   28-1500     5800

ROHM & HAAS CO                 COM            775371107      841,966      16,799       X        28-5284    16799
                                                           4,404,495      87,879       X    X   28-5284    86379                1500
                                                              44,857         895       X        28-1500                895
                                                             200,480       4,000       X    X   28-4580     4000

ROLLINS INC                    COM            775711104        3,437         175       X        28-5284      175
                                                             136,989       6,975       X    X   28-5284     6975

ROPER INDS INC NEW             COM            776696106    3,358,988      71,850       X        28-5284    71850
                                                              46,750       1,000       X    X   28-5284     1000

ROSS STORES INC                COM            778296103       15,259         544       X        28-5284      544
                                                             161,989       5,775       X    X   28-5284     1900                3875

ROWAN COS INC                  COM            779382100       59,791       1,680       X        28-5284     1680
                                                              14,699         413       X    X   28-5284      413

ROYAL BANCSHARES PA INC        CL A           780081105       14,325         590       X    X   28-5284      590
                                                             866,796      35,700       X        28-1500    35700

ROYAL BK CDA MONTREAL QUE      COM            780087102       97,680       2,400       X        28-5284                         2400
                                                             131,868       3,240       X    X   28-5284     3240

ROYAL BK SCOTLAND GROUP PLC    ADR PFD SER P  780097762       46,680       2,000       X        28-5284     2000

ROYAL BK SCOTLAND GROUP PLC    ADR PREF SER N 780097770       44,935       1,900       X    X   28-5284     1900

ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796       63,466       2,640       X        28-5284     2640
               COLUMN TOTAL                               20,622,190






                                                                                                                   FILE NO. 28-1235
 PAGE   158 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ROYAL BK SCOTLAND GROUP PLC    SPON ADR F     780097804       38,550       1,500       X        28-5284      500                1000
                                                              33,410       1,300       X    X   28-5284     1300

ROYAL BK SCOTLAND GROUP PLC    SP ADR PFD K   780097820        6,315         250       X        28-5284      250
                                                             111,144       4,400       X    X   28-5284     4400

ROYAL BK SCOTLAND GROUP PLC    SPON ADR SER H 780097879       17,619         700       X        28-5284      700
                                                             159,830       6,350       X    X   28-5284     6350

ROYAL BK SCOTLAND GROUP PLC    SPON ADR PRF G 780097887        5,042         200       X    X   28-5284      200

ROYAL DUTCH SHELL PLC          SPON ADR B     780259107      265,646       3,802       X        28-5284     2313                1489
                                                           2,616,492      37,448       X    X   28-5284    37018       258       172
                                                               9,013         129       X    X   28-1500      129
                                                             208,562       2,985       X        28-4580     2985

ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206   31,495,537     470,223       X        28-5284   459843               10380
                                                          70,093,029   1,046,477       X    X   28-5284  1016553      5580     24344
                                                             103,819       1,550       X    X   28-1500     1550
                                                             686,880      10,255       X        28-4580    10255
                                                             478,572       7,145       X    X   28-4580     7087                  58

ROYAL GOLD INC                 COM            780287108       17,276         621       X        28-5284      621

ROYCE FOCUS TR                 COM            78080N108       58,663       5,701       X    X   28-5284     2701                3000
                                                             631,683      61,388       X    X   28-1500    61388

ROYCE VALUE TR INC             COM            780910105      172,614       8,916       X        28-5284     8916
                                                              69,870       3,609       X    X   28-5284     3609
                                                               3,949         204       X    X   28-1500      204

ROYCE MICRO-CAP TR INC         COM            780915104        5,394         371       X        28-5284      371

RUBY TUESDAY INC               COM            781182100        9,764         400       X        28-5284                          400
                                                             166,867       6,836       X    X   28-5284     6836

RUTHS CHRIS STEAK HSE INC      COM            783332109       10,210         500       X        28-5284      500
                                                              10,210         500       X    X   28-5284                          500
                                                              81,680       4,000       X    X   28-1500     4000

RYANAIR HLDGS PLC              SPONSORED ADR  783513104        7,539         143       X    X   28-5284      143

RYDER SYS INC                  COM            783549108      162,435       2,780       X        28-5284     2780
               COLUMN TOTAL                              107,737,614






                                                                                                                   FILE NO. 28-1235
 PAGE   159 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
RYDEX ETF TRUST                S&P 500 EQ TRD 78355W106       24,888         580       X        28-5284      580
                                                             117,831       2,746       X    X   28-5284     2746

RYDEX ETF TRUST                TOP 50 ETF     78355W205    1,404,750      15,000       X    X   28-5284    15000

RYLAND GROUP INC               COM            783764103        1,089          25       X        28-5284       25

S & T BANCORP INC              COM            783859101      944,596      28,426       X        28-5284    28426
                                                             350,078      10,535       X    X   28-5284     9000                1535

SEI INVESTMENTS CO             COM            784117103    2,399,764      49,095       X        28-5284    42695                6400
                                                           1,490,840      30,500       X    X   28-5284    30500

SEMCO ENERGY INC               COM            78412D109        1,112         200       X    X   28-5284      200

SJW CORP                       COM            784305104       40,720       1,600       X    X   28-5284     1600

SK TELECOM LTD                 SPONSORED ADR  78440P108        4,099         175       X        28-5284      175

SL GREEN RLTY CORP             COM            78440X101       65,682         600       X    X   28-5284      600

SLM CORP                       COM            78442P106      414,205       7,827       X        28-5284     7827
                                                             642,184      12,135       X    X   28-5284     4335                7800

SPDR TR                        UNIT SER 1     78462F103  309,417,380   2,431,953       X        28-5284  2398275               33678
                                                         134,235,665   1,055,063       X    X   28-5284  1035430      2835     16798
                                                           6,233,379      48,993       X        28-4580    48093                 900
                                                           1,931,860      15,184       X    X   28-4580    15184

S1 CORPORATION                 COM            78463B101       18,240       3,800       X    X   28-5284                         3800
                                                              95,990      19,998       X        28-1500    19998

SPX CORP                       COM            784635104       98,136       1,754       X        28-5284      354                1400
                                                             218,541       3,906       X    X   28-5284     3906
                                                              11,861         212       X    X   28-4580      212

S Y BANCORP INC                COM            785060104      137,922       5,019       X        28-5284     3969                1050
                                                             192,882       7,019       X    X   28-5284     7019
                                                              37,318       1,358       X        28-1500     1358

SABRE HLDGS CORP               CL A           785905100        3,476         158       X    X   28-5284      158
               COLUMN TOTAL                              460,534,488






                                                                                                                   FILE NO. 28-1235
 PAGE   160 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SAFECO CORP                    COM            786429100   26,010,371     461,586       X        28-5284   450506       500     10580
                                                          11,470,888     203,565       X    X   28-5284   191086      5535      6944
                                                             884,470      15,696       X        28-4580    15276                 420
                                                             288,568       5,121       X    X   28-4580     5121

SAFEGUARD SCIENTIFICS INC      COM            786449108       25,596      11,850       X        28-5284    11850
                                                                 432         200       X    X   28-5284      200
                                                              43,200      20,000       X    X   28-1500    20000

SAFENET INC                    COM            78645R107        5,954         336       X    X   28-5284      336

SAFEWAY INC                    COM NEW        786514208      181,220       6,970       X        28-5284     5570                1400
                                                             135,200       5,200       X    X   28-5284     5200
                                                              64,324       2,474       X    X   28-1500     2474

ST JOE CO                      COM            790148100       74,464       1,600       X        28-5284     1600
                                                             123,331       2,650       X    X   28-5284                         2650
                                                               1,675          36       X    X   28-4580        8                  28

ST JUDE MED INC                COM            790849103      317,716       9,800       X        28-5284     9800
                                                             340,572      10,505       X    X   28-5284    10505

ST MARY LD & EXPL CO           COM            792228108       80,500       2,000       X    X   28-5284     2000

ST PAUL TRAVELERS INC          COM            792860108    6,523,436     146,331       X        28-5284   140396                5935
                                                           9,381,638     210,445       X    X   28-5284   196163               14282
                                                             349,953       7,850       X    X   28-1500     7850
                                                           2,032,402      45,590       X       28-11439    45590
                                                              22,156         497       X        28-4580      497
                                                              91,701       2,057       X    X   28-4580     2057

SAKS INC                       COM            79377W108        3,234         200       X        28-5284      200

SALOMON BROS HIGH INCOME FD    COM            794907105        9,800       1,000       X        28-5284     1000
                                                              13,142       1,341       X    X   28-5284     1341

SALOMON BR GLBL PRTNRS INC F   COM            794914101        3,318         300       X    X   28-5284      300

SALOMON BROS MUN PARTNERS FD   COM            794916106       22,814       1,700       X    X   28-5284     1700

SALISBURY BANCORP INC          COM            795226109        7,860         200       X        28-5284      200

SALIX PHARMACEUTICALS INC      COM            795435106        6,827         555       X    X   28-5284       34                 521
               COLUMN TOTAL                               58,516,762






                                                                                                                   FILE NO. 28-1235
 PAGE   161 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SALOMON BROTHERS FD INC        COM            795477108       16,295       1,052       X        28-5284     1052
                                                             194,833      12,578       X    X   28-5284    12578

SALOMON BROS 2008 WORLDWIDE    COM            79548R103       21,339       1,985       X    X   28-5284     1985

SALTON INC                     COM            795757103           95          40       X    X   28-5284       40

SAMARITAN PHARMACEUTICALS      COM            79586Q108       29,025      67,500       X        28-5284    67500

SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105       37,003         950       X        28-5284      950
                                                             649,024      16,663       X    X   28-5284    16663
                                                              31,160         800       X        28-1500                800
                                                              11,685         300       X        28-4580      300

SAN PAOLO-IMI S P A            SPONSORED ADR  799175104        9,697         275       X        28-5284      275
                                                                 599          17       X    X   28-5284       17

SANDISK CORP                   COM            80004C101       91,101       1,787       X        28-5284     1787
                                                             112,156       2,200       X    X   28-5284     2200

SANDY SPRING BANCORP INC       COM            800363103       45,075       1,250       X    X   28-5284     1250

SANMINA SCI CORP               COM            800907107        5,331       1,159       X        28-5284     1159
                                                              46,000      10,000       X    X   28-5284    10000
                                                               3,754         816       X    X   28-1500      816

SANOFI AVENTIS                 SPONSORED ADR  80105N105    1,762,112      36,183       X        28-5284     9183               27000
                                                           1,271,167      26,102       X    X   28-5284     8982               17120

SANTARUS INC                   COM            802817304      100,701      15,143       X        28-1500    15143

SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204      242,432       4,616       X        28-5284     4616
                                                             122,056       2,324       X    X   28-5284     2324

SAPIENT CORP                   COM            803062108        6,890       1,300       X        28-5284     1300

SAPPI LTD                      SPON ADR NEW   803069202       50,372       4,033       X        28-5284     4033
               COLUMN TOTAL                                4,859,902






                                                                                                                   FILE NO. 28-1235
 PAGE   162 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SARA LEE CORP                  COM            803111103   10,781,893     673,027       X        28-5284   664039                8988
                                                           5,537,601     345,668       X    X   28-5284   331588      8500      5580
                                                              25,632       1,600       X    X   28-1500     1600
                                                             120,150       7,500       X       28-11439     7500
                                                              88,767       5,541       X        28-4580     5541
                                                              41,652       2,600       X    X   28-4580     2600

SASOL LTD                      SPONSORED ADR  803866300       13,524         350       X        28-5284      350
                                                              19,320         500       X    X   28-5284                          500
                                                               3,555          92       X    X   28-4580       21                  71

SATYAM COMPUTER SERVICES LTD   ADR            804098101    1,344,258      40,563       X        28-5284    40563
                                                             917,249      27,678       X    X   28-5284    27328                 350

SAUER-DANFOSS INC              COM            804137107       86,250       3,393       X        28-5284     3393

SAUL CTRS INC                  COM            804395101      432,268      10,600       X    X   28-5284    10600

SAXON CAP INC NEW              COM            80556T106       18,990       1,660       X        28-5284     1660
                                                             104,104       9,100       X    X   28-1500     9100

SCANA CORP NEW                 COM            80589M102      331,016       8,580       X        28-5284     8580
                                                             110,995       2,877       X    X   28-5284     2877
                                                              15,432         400       X    X   28-1500      400

SCHEIN HENRY INC               COM            806407102       53,272       1,140       X        28-5284     1140
                                                             210,285       4,500       X    X   28-1500     4500

SCHERING PLOUGH CORP           COM            806605101   14,300,626     751,478       X        28-5284   677798               73680
                                                          11,575,740     608,289       X    X   28-5284   572248               36041
                                                           1,733,633      91,100       X    X   28-1500    91100
                                                              79,926       4,200       X        28-4580     4200
                                                           1,139,269      59,867       X    X   28-4580    59867

SCHLUMBERGER LTD               DBCV  1.500% 6 806857AC2      544,500       3,000       X        28-5284     3000

SCHLUMBERGER LTD               COM            806857108   70,855,437   1,088,242       X        28-5284  1062082       800     25360
                                                          57,855,509     888,581       X    X   28-5284   846697     23744     18140
                                                             143,242       2,200       X        28-1500               2200
                                                           1,685,828      25,892       X        28-4580    25332                 560
                                                             344,041       5,284       X    X   28-4580     4904       282        98
               COLUMN TOTAL                              180,513,964






                                                                                                                   FILE NO. 28-1235
 PAGE   163 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SCHNITZER STL INDS             CL A           806882106        7,096         200       X        28-5284      200
                                                              14,192         400       X    X   28-5284      400

SCHOLASTIC CORP                COM            807066105        6,493         250       X        28-5284      250

SCHOOL SPECIALTY INC           COM            807863105        3,663         115       X    X   28-5284      115

SCHWAB CHARLES CORP NEW        COM            808513105      764,036      47,812       X        28-5284    47812
                                                             181,757      11,374       X    X   28-5284    11374
                                                              95,880       6,000       X    X   28-1500     6000

SCHWEITZER-MAUDUIT INTL INC    COM            808541106       44,361       2,049       X    X   28-5284     2049

SCICLONE PHARMACEUTICALS INC   COM            80862K104          458         200       X    X   28-5284      200

SCIENTIFIC GAMES CORP          CL A           80874P109       32,058         900       X        28-5284      900

SCIENTIFIC LEARNING CORP       COM            808760102       32,200       7,000       X        28-5284     7000

SCOTTISH PWR PLC               SP ADR FNL NEW 81013T804        9,750         226       X        28-5284      226
                                                             160,912       3,730       X    X   28-5284     2781                 949
                                                               2,675          62       X    X   28-4580       14                  48

SCOTTS MIRACLE GRO CO          CL A           810186106       35,549         840       X        28-5284      840
                                                              33,856         800       X    X   28-5284      800
                                                              82,270       1,944       X    X   28-1500     1944

SCRIPPS E W CO OHIO            CL A           811054204      615,824      14,275       X        28-5284     2075               12200
                                                             472,987      10,964       X    X   28-5284     5160                5804

SCS TRANSN INC                 COM            81111T102        2,065          75       X    X   28-5284       75

SEACHANGE INTL INC             COM            811699107       86,687      12,455       X        28-1500    12455

SEACOAST BKG CORP FLA          COM            811707306       78,772       2,958       X        28-5284     2958
                                                             228,485       8,580       X    X   28-5284                         8580
                                                              43,940       1,650       X    X   28-1500     1650

SEALED AIR CORP NEW            COM            81211K100       92,338       1,773       X        28-5284     1773
                                                             389,819       7,485       X    X   28-5284     6790                 695
                                                              99,317       1,907       X        28-1500               1907
               COLUMN TOTAL                                3,617,440






                                                                                                                   FILE NO. 28-1235
 PAGE   164 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SEARS HLDGS CORP               COM            812350106      328,149       2,113       X        28-5284     1893                 220
                                                           1,140,523       7,344       X    X   28-5284     7267                  77
                                                              26,712         172       X        28-1500      172
                                                              50,317         324       X    X   28-4580      324

SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100       62,435       1,945       X        28-5284     1945
                                                              45,646       1,422       X    X   28-1500     1422
                                                              23,176         722       X        28-4580      722

SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209      101,697       3,363       X        28-5284     3363
                                                             189,151       6,255       X    X   28-5284     6255
                                                              30,875       1,021       X    X   28-1500     1021
                                                               3,024         100       X    X   28-4580      100

SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308       58,370       2,413       X        28-5284     2413
                                                              21,602         893       X    X   28-5284      893
                                                              41,704       1,724       X    X   28-1500     1724
                                                             171,846       7,104       X    X   28-4580     7104

SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407      213,663       6,399       X        28-5284     6399
                                                             596,379      17,861       X    X   28-5284    17861
                                                              23,473         703       X    X   28-1500      703
                                                             178,436       5,344       X    X   28-4580     5344

SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506    3,963,817      69,847       X        28-5284    69672                 175
                                                           3,080,163      54,276       X    X   28-5284    53936       340
                                                             456,951       8,052       X        28-1500               8052
                                                             890,975      15,700       X       28-11439    15700
                                                             208,897       3,681       X        28-4580     3681
                                                              22,700         400       X    X   28-4580      400

SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605      146,144       4,519       X        28-5284     4519
                                                             139,062       4,300       X    X   28-5284     4300
                                                              50,968       1,576       X    X   28-1500     1576
                                                             366,574      11,335       X    X   28-4580    11335

SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704       17,716         524       X        28-5284      524
                                                             152,246       4,503       X    X   28-5284     4503
                                                              35,264       1,043       X    X   28-1500     1043
                                                             216,384       6,400       X        28-4580     6400
                                                              23,667         700       X    X   28-4580      700
               COLUMN TOTAL                               13,078,706






                                                                                                                   FILE NO. 28-1235
 PAGE   165 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803    7,213,206     354,806       X        28-5284   354806
                                                           5,320,869     261,725       X    X   28-5284   255882      5000       843
                                                              27,689       1,362       X    X   28-1500     1362
                                                               1,931          95       X        28-4580       95
                                                             223,732      11,005       X    X   28-4580    11005

SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886    1,200,058      37,165       X        28-5284    37165
                                                           1,784,475      55,264       X    X   28-5284    54754       510
                                                             418,446      12,959       X    X   28-1500    12959
                                                              48,435       1,500       X        28-4580     1500

SECURE COMPUTING CORP          COM            813705100       77,400       9,000       X    X   28-5284     9000

SELECT COMFORT CORP            COM            81616X103    1,443,090      62,825       X    X   28-5284    62825

SELECTIVE INS GROUP INC        COM            816300107      206,719       3,700       X        28-5284     3700
                                                              25,142         450       X    X   28-5284      450
                                                           1,783,650      31,925       X    X   28-4580    31925

SELIGMAN QUALITY MUN FD INC    COM            816343107       29,302       2,333       X    X   28-5284     2333

SEMPRA ENERGY                  COM            816851109      108,788       2,392       X        28-5284     2392
                                                             417,961       9,190       X    X   28-5284     8288                 902
                                                              14,826         326       X    X   28-4580      268                  58

SEMITOOL INC                   COM            816909105        2,706         300       X    X   28-5284      300

SENIOR HIGH INCOME PORTFOLIO   COM            81721E107       12,120       2,000       X        28-5284     2000

SENIOR HSG PPTYS TR            SH BEN INT     81721M109       21,313       1,190       X        28-5284     1190
                                                               3,045         170       X    X   28-5284       20                 150

SENSIENT TECHNOLOGIES CORP     COM            81725T100        1,903          91       X        28-5284       91

SEPRACOR INC                   COM            817315104       11,428         200       X        28-5284      200
                                                              25,713         450       X    X   28-5284                          450

SERONO S A                     SPONSORED ADR  81752M101       27,714       1,616       X        28-5284     1616
                                                              19,894       1,160       X    X   28-5284     1160

SERVICE CORP INTL              COM            817565104       17,908       2,200       X        28-5284     2200
                                                               8,856       1,088       X    X   28-5284      888       200
               COLUMN TOTAL                               20,498,319






                                                                                                                   FILE NO. 28-1235
 PAGE   166 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SERVICEMASTER CO               COM            81760N109      324,093      31,374       X        28-5284    31374
                                                              39,254       3,800       X    X   28-5284     3800
                                                               2,975         288       X        28-4580      288

SHANDA INTERACTIVE ENTMT LTD   SPONSORED ADR  81941Q203       51,840       4,000       X        28-5284     4000
                                                              51,840       4,000       X    X   28-1500     4000

SHAW GROUP INC                 COM            820280105      174,612       6,281       X        28-5284     6281
                                                               8,340         300       X    X   28-5284      300

SHERWIN WILLIAMS CO            COM            824348106    9,366,142     197,265       X        28-5284   153340               43925
                                                           3,279,681      69,075       X    X   28-5284    69075
                                                             379,270       7,988       X    X   28-1500     7988
                                                             113,952       2,400       X        28-4580     2400
                                                              47,480       1,000       X    X   28-4580     1000

SHIRE PLC                      SPONSORED ADR  82481R106      125,127       2,829       X        28-5284     2704                 125
                                                             331,858       7,503       X    X   28-5284     6530                 973

SHORE BANCSHARES INC           COM            825107105    3,513,118     129,492       X    X   28-5284   129492

SHORE FINL CORP                COM            82511E109       30,618       1,800       X        28-5284     1800

SHUFFLE MASTER INC             COM            825549108       10,326         315       X        28-5284                          315

SHURGARD STORAGE CTRS INC      COM            82567D104       38,438         615       X        28-5284      615
                                                              61,875         990       X    X   28-5284      990

SIEMENS A G                    SPONSORED ADR  826197501      151,935       1,750       X        28-5284      250                1500
                                                              43,410         500       X    X   28-5284      100                 400

SIERRA PAC RES NEW             COM            826428104        5,838         417       X        28-5284      417
                                                              36,232       2,588       X    X   28-5284     2588

SIGMA ALDRICH CORP             COM            826552101      797,515      10,979       X        28-5284    10979
                                                             977,008      13,450       X    X   28-5284     9650                3800

SILICON LABORATORIES INC       COM            826919102       45,695       1,300       X    X   28-5284     1300

SILICON IMAGE INC              COM            82705T102       16,170       1,500       X    X   28-5284     1500
                                                              77,088       7,151       X        28-1500     7151

SILICON STORAGE TECHNOLOGY I   COM            827057100        2,000         500       X        28-5284      500
               COLUMN TOTAL                               20,103,730






                                                                                                                   FILE NO. 28-1235
 PAGE   167 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SIMON PPTY GROUP INC NEW       COM            828806109      234,886       2,832       X        28-5284     2832
                                                             945,516      11,400       X    X   28-5284    11400
                                                              70,665         852       X    X   28-4580      809                  43

SIMPSON MANUFACTURING CO INC   COM            829073105      264,030       7,324       X    X   28-5284     7324

SINOPEC SHANGHAI PETROCHEMIC   SPON ADR H     82935M109       14,805         300       X        28-5284      300

SIRENZA MICRODEVICES INC       COM            82966T106      526,876      43,400       X    X   28-5284    43400

SIRIUS SATELLITE RADIO INC     COM            82966U103      239,353      50,390       X        28-5284    50190       200
                                                             157,843      33,230       X    X   28-5284    33230
                                                              28,500       6,000       X    X   28-1500     6000
                                                           1,154,720     243,099       X       28-11439   243099
                                                                  86          18       X        28-4580       18

SIZELER PPTY INVS INC          COM            830137105        8,030         500       X        28-5284      500
                                                              88,330       5,500       X    X   28-5284     5000       500

SKY FINL GROUP INC             COM            83080P103      189,801       8,039       X        28-5284     8039
                                                           1,566,689      66,357       X    X   28-5284    66117                 240

SKYWORKS SOLUTIONS INC         COM            83088M102        1,284         233       X        28-5284      233
                                                               7,422       1,347       X    X   28-5284     1207                 140
                                                              73,283      13,300       X        28-1500    13300

SMITH & NEPHEW PLC             SPDN ADR NEW   83175M205       39,917       1,036       X        28-5284     1036
                                                                 424          11       X    X   28-5284       11

SMITH A O                      COM            831865209       27,816         600       X    X   28-5284                          600

SMITH INTL INC                 COM            832110100   12,949,175     291,189       X        28-5284   286081       500      4608
                                                           3,970,860      89,293       X    X   28-5284    86880       810      1603
                                                              33,353         750       X        28-4580      750
                                                              14,141         318       X    X   28-4580      318

SMITHFIELD FOODS INC           COM            832248108       14,992         520       X        28-5284      520
                                                                 432          15       X    X   28-5284       15
                                                              15,972         554       X    X   28-1500      554
               COLUMN TOTAL                               22,639,201






                                                                                                                   FILE NO. 28-1235
 PAGE   168 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SMUCKER J M CO                 COM NEW        832696405    2,379,694      53,237       X        28-5284    52878                 359
                                                           1,991,474      44,552       X    X   28-5284    40171                4381
                                                               6,660         149       X    X   28-1500      149
                                                               5,722         128       X    X   28-4580      128

SMURFIT-STONE CONTAINER CORP   COM            832727101      104,969       9,595       X        28-5284     9595
                                                                 503          46       X    X   28-5284       46

SNAP ON INC                    COM            833034101       27,486         680       X        28-5284      680
                                                              18,189         450       X    X   28-5284      450

SOLECTRON CORP                 COM            834182107       25,616       7,490       X        28-5284     7490
                                                               4,241       1,240       X    X   28-5284     1240

SOLEXA INC                     COM            83420X105           17           2       X        28-5284                            2

SOMANETICS CORP                COM NEW        834445405      657,040      34,400       X    X   28-5284    34400

SOMERA COMMUNICATION           COM NEW        834458200        4,250       1,000       X        28-5284     1000

SONIC AUTOMOTIVE INC           CL A           83545G102       11,090         500       X    X   28-5284      500

SONIC CORP                     COM            835451105       24,491       1,178       X    X   28-5284     1178

SONOCO PRODS CO                COM            835495102      532,131      16,813       X        28-5284    16813
                                                             695,129      21,963       X    X   28-5284    18313                3650
                                                              65,800       2,079       X    X   28-1500     2079

SONOSITE INC                   COM            83568G104        1,288          33       X    X   28-5284       33

SONY CORP                      ADR NEW        835699307      101,160       2,297       X        28-5284     2297
                                                             443,042      10,060       X    X   28-5284     6560                3500
                                                              17,616         400       X        28-1500                400

SOTHEBYS HLDGS INC             CL A           835898107        4,095         156       X        28-5284      156

SONUS NETWORKS INC             COM            835916107        4,950       1,000       X    X   28-5284     1000
                                                              79,735      16,108       X        28-1500    16108

SOURCE CAP INC                 COM            836144105      470,593       6,508       X        28-5284     6508
                                                              23,139         320       X    X   28-5284      320
               COLUMN TOTAL                                7,700,120






                                                                                                                   FILE NO. 28-1235
 PAGE   169 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SOUTH FINL GROUP INC           COM            837841105       11,885         450       X        28-5284      450
                                                             328,223      12,428       X        28-1500    12428

SOUTH JERSEY INDS INC          COM            838518108      453,305      16,550       X        28-5284    16412                 138
                                                           1,327,429      48,464       X    X   28-5284    46864                1600

SOUTHERN CO                    COM            842587107    6,048,027     188,706       X        28-5284   184215                4491
                                                           7,737,415     241,417       X    X   28-5284   232914       600      7903
                                                             183,006       5,710       X        28-1500               5710
                                                             182,685       5,700       X        28-4580     5700
                                                             160,090       4,995       X    X   28-4580     1422                3573

SOUTHERN COPPER CORP           COM            84265V105      686,301       7,700       X    X   28-5284     7700
                                                             178,260       2,000       X    X   28-1500     2000

SOUTHERN UN CO NEW             COM            844030106    1,448,657      53,535       X        28-5284    52195                1340
                                                             235,124       8,689       X    X   28-5284     7587                1102
                                                              94,548       3,494       X    X   28-1500     3494

SOUTHSIDE BANCSHARES INC       COM            84470P109      149,589       6,702       X    X   28-5284     6702

SOUTHWEST AIRLS CO             COM            844741108      153,894       9,401       X        28-5284     9401
                                                             355,229      21,700       X    X   28-5284    21700
                                                               6,139         375       X    X   28-1500      375
                                                              96,829       5,915       X    X   28-4580     5915

SOUTHWEST GAS CORP             COM            844895102      118,371       3,777       X        28-5284     3777

SOUTHWEST WTR CO               COM            845331107        6,284         525       X        28-5284      525
                                                              80,714       6,743       X    X   28-5284     6533                 210
                                                               6,595         551       X    X   28-1500      551

SOUTHWESTERN ENERGY CO         COM            845467109       74,940       2,405       X        28-5284     2405
                                                             402,587      12,920       X    X   28-5284    12920
                                                             373,920      12,000       X    X   28-4580    12000

SOVEREIGN BANCORP INC          COM            845905108      606,538      29,864       X        28-5284    29864
                                                             287,833      14,172       X    X   28-5284     4172     10000
                                                           1,776,414      87,465       X       28-11439    87465

SOVRAN SELF STORAGE INC        COM            84610H108       25,395         500       X        28-5284      500
                                                              40,632         800       X    X   28-5284      800
               COLUMN TOTAL                               23,636,858






                                                                                                                   FILE NO. 28-1235
 PAGE   170 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SPATIALIGHT INC                COM            847248101       11,500       5,000       X        28-5284     5000

SPECTRANETICS CORP             COM            84760C107       21,440       2,000       X        28-4580     2000

SPECTRUM CTL INC               COM            847615101       12,950       1,400       X        28-5284     1400
                                                              92,195       9,967       X    X   28-5284                         9967

SPHERIX INC                    COM            84842R106      220,727     139,260       X        28-5284   139260

SPIRIT FIN CORP                COM            848568309        2,252         200       X        28-5284      200

SPRINT NEXTEL CORP             COM FON        852061100    2,483,198     124,222       X        28-5284   123422                 800
                                                           6,799,019     340,121       X    X   28-5284   332428      1880      5813
                                                              25,327       1,267       X        28-4580     1267
                                                              23,528       1,177       X    X   28-4580     1177

STANCORP FINL GROUP INC        COM            852891100        9,266         182       X        28-5284      182

STANDARD MICROSYSTEMS CORP     COM            853626109        3,275         150       X        28-5284      150
                                                              23,533       1,078       X    X   28-5284     1078

STANDARD PAC CORP NEW          COM            85375C101        9,766         380       X        28-5284      380
                                                              33,410       1,300       X    X   28-5284     1300

STANLEY WKS                    COM            854616109      108,606       2,300       X        28-5284     2300
                                                              82,635       1,750       X    X   28-5284     1450                 300

STAPLES INC                    COM            855030102    9,669,093     397,088       X        28-5284   346489               50599
                                                           2,953,071     121,276       X    X   28-5284   115826       450      5000
                                                              52,547       2,158       X    X   28-1500     2158

STARBUCKS CORP                 COM            855244109    2,848,652      75,441       X        28-5284    75441
                                                             917,039      24,286       X    X   28-5284    24196        90
                                                              57,395       1,520       X    X   28-1500     1520
                                                              32,172         852       X    X   28-4580                          852

STARWOOD HOTELS&RESORTS WRLD   COM            85590A401      124,361       2,061       X        28-5284     2061
                                                             716,779      11,879       X    X   28-5284    11879

STATE STR CORP                 COM            857477103    2,253,660      38,796       X        28-5284    38796
                                                           3,538,320      60,911       X    X   28-5284    58911      2000
                                                              29,045         500       X        28-4580      500
                                                             348,540       6,000       X    X   28-4580     6000
               COLUMN TOTAL                               33,503,301






                                                                                                                   FILE NO. 28-1235
 PAGE   171 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STATION CASINOS INC            COM            857689103      199,202       2,926       X        28-5284     2926
                                                              53,783         790       X    X   28-5284      790
                                                               2,315          34       X    X   28-4580        7                  27

STATOIL ASA                    SPONSORED ADR  85771P102       28,520       1,000       X        28-5284     1000
                                                              21,390         750       X    X   28-5284      750

STEEL DYNAMICS INC             COM            858119100       43,060         655       X        28-5284      655
                                                             170,004       2,586       X    X   28-5284     2586

STEEL TECHNOLOGIES INC         COM            858147101        8,281         426       X        28-1500      426

STEELCLOUD INC                 COM            85815M107          160         200       X    X   28-1500      200

STERICYCLE INC                 COM            858912108      169,260       2,600       X        28-5284     1100                1500

STERIS CORP                    COM            859152100       18,425         806       X        28-5284      806
                                                              27,432       1,200       X    X   28-5284     1200
                                                              82,913       3,627       X    X   28-1500     3627

STEREOTAXIS INC                COM            85916J102        2,158         200       X        28-1500      200

STERLING FINL CORP             COM            859317109       82,454       3,765       X        28-5284     3765
                                                             131,400       6,000       X    X   28-5284               6000

STERLING FINL CORP WASH        COM            859319105       32,036       1,050       X        28-5284     1050

STEWART ENTERPRISES INC        CL A           860370105        6,900       1,200       X    X   28-5284     1200

STILLWATER MNG CO              COM            86074Q102       20,288       1,600       X        28-5284     1600

STMICROELECTRONICS N V         NY REGISTRY    861012102       18,609       1,158       X        28-5284     1158

STONE ENERGY CORP              COM            861642106        4,655         100       X    X   28-5284                          100

STONEMOR PARTNERS L P          COM UNITS      86183Q100        5,820         300       X        28-5284      300

STORA ENSO CORP                SPON ADR REP R 86210M106      213,027      15,238       X        28-5284    15238

STRATASYS INC                  COM            862685104       58,920       2,000       X        28-5284     2000
                                                             103,110       3,500       X    X   28-5284     3500
               COLUMN TOTAL                                1,504,122






                                                                                                                   FILE NO. 28-1235
 PAGE   172 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
STRATEGIC DIAGNOSTICS INC      COM            862700101       11,760       4,000       X        28-5284     4000
                                                               1,000         340       X    X   28-5284      340

STRATEGIC GLOBAL INCOME FD     COM            862719101        9,160         800       X        28-5284      800

STRATTEC SEC CORP              COM            863111100      211,194       4,240       X    X   28-5284     4240

STRATUS PPTYS INC              COM NEW        863167201        8,040         300       X        28-5284      300

STRAYER ED INC                 COM            863236105       17,287         178       X        28-5284      178

STREETTRACKS SER TR            DJ WL SM CP VL 86330E406       74,846       1,149       X    X   28-5284     1149

STREETTRACKS SER TR            DJ WLSH REIT   86330E604      871,491      11,470       X        28-5284    10870                 600
                                                           1,067,671      14,052       X    X   28-5284    11622                2430

STREETTRACKS SER TR            MRGN STNLY TCH 86330E703      745,085      15,144       X        28-5284    15144
                                                             197,095       4,006       X    X   28-5284     4006
                                                             129,150       2,625       X        28-4580     2625
                                                              27,454         558       X    X   28-4580      558

STREETTRACKS GOLD TR           GOLD SHS       863307104    1,197,047      19,550       X        28-5284    19550
                                                             174,506       2,850       X    X   28-5284     2250                 600
                                                              18,369         300       X        28-4580      300
                                                              51,494         841       X    X   28-4580      507                 334

STRIDE RITE CORP               COM            863314100          501          38       X        28-5284       38

STRYKER CORP                   COM            863667101   26,577,179     631,137       X        28-5284   630437                 700
                                                          19,672,065     467,159       X    X   28-5284   460334      1700      5125
                                                             166,882       3,963       X        28-4580     3963
                                                             205,665       4,884       X    X   28-4580     4560                 324

STURM RUGER & CO INC           COM            864159108        2,500         400       X        28-5284      400
                                                              11,025       1,764       X    X   28-5284     1764

SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104       12,608         400       X        28-5284      400
                                                             108,744       3,450       X    X   28-5284     3450
                                                             157,600       5,000       X    X   28-4580     5000

SUEZ                           SPONSORED ADR  864686100       21,752         521       X        28-5284      521
               COLUMN TOTAL                               51,749,170






                                                                                                                   FILE NO. 28-1235
 PAGE   173 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SUN BANCORP INC                COM            86663B102       22,557       1,389       X        28-5284                         1389
                                                           9,006,736     554,602       X        28-1500   554602

SUN INC                        SDCV  6.750% 6 866762AG2    2,530,000      10,000       X    X   28-5284    10000

SUN LIFE FINL INC              COM            866796105    1,085,218      27,178       X        28-5284    27178
                                                             356,735       8,934       X    X   28-5284     8934

SUN MICROSYSTEMS INC           COM            866810104    1,065,720     256,800       X        28-5284   120700              136100
                                                             553,901     133,470       X    X   28-5284    81570               51900
                                                               1,245         300       X        28-1500                300

SUNCOM WIRELESS HLDGS INC      CL A           86722Q108        3,750       2,500       X        28-5284     2500
                                                               3,750       2,500       X    X   28-5284     2500

SUNCOR ENERGY INC              COM            867229106      854,818      10,552       X        28-5284     9477                1075
                                                             700,737       8,650       X    X   28-5284     8650
                                                           1,026,802      12,675       X    X   28-1500    12675
                                                               4,942          61       X    X   28-4580       14                  47

SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108       41,871       1,025       X        28-5284     1025
                                                             524,923      12,850       X    X   28-5284    10200      2500       150

SUNOCO INC                     COM            86764P109      874,024      12,614       X        28-5284    12614
                                                           2,527,145      36,472       X    X   28-5284    36472
                                                               2,841          41       X    X   28-4580        8                  33

SUNPOWER CORP                  COM CL A       867652109        5,604         200       X        28-5284      200

SUNRISE SENIOR LIVING INC      COM            86768K106       29,033       1,050       X        28-5284      200                 850

SUNSET FINANCIAL RESOURCES I   COM            867708109       18,751       2,227       X        28-5284     2227
                                                              16,840       2,000       X        28-4580     2000

SUNSTONE HOTEL INVS INC NEW    COM            867892101      118,855       4,090       X    X   28-5284                         4090

SUNTRUST BKS INC               COM            867914103    3,239,144      42,475       X        28-5284    41075                1400
                                                           3,179,051      41,687       X    X   28-5284    38612      2400       675
                                                              14,184         186       X        28-1500                186
                                                              76,260       1,000       X    X   28-4580     1000

SUPERCONDUCTOR                 COM            867931107       14,547       7,131       X                    7131
TECHNOLOGIES INC

SUNTECH PWR HLDGS CO LTD       ADR            86800C104        5,650         200       X        28-5284      200
               COLUMN TOTAL                               27,905,634






                                                                                                                   FILE NO. 28-1235
 PAGE   174 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
SUPERGEN INC                   COM            868059106       32,670       9,000       X    X   28-5284                         9000

SUPERIOR INDS INTL INC         COM            868168105       21,948       1,200       X    X   28-5284     1200
                                                              18,290       1,000       X        28-4580     1000

SUPERVALU INC                  COM            868536103      351,699      11,456       X        28-5284     8476                2980
                                                             290,852       9,474       X    X   28-5284     9038                 436

SURMODICS INC                  COM            868873100      101,108       2,800       X        28-5284     2800
                                                             162,495       4,500       X    X   28-5284     4500

SUSQUEHANNA BANCSHARES INC P   COM            869099101      619,942      25,939       X    X   28-5284    23789                2150

SWIFT ENERGY CO                COM            870738101       17,172         400       X    X   28-5284                          400

SWIFT TRANSN CO                COM            870756103        2,541          80       X        28-5284       80

SWISS HELVETIA FD INC          COM            870875101       16,650       1,000       X        28-5284     1000
                                                             181,901      10,925       X    X   28-5284    10925

SYBASE INC                     COM            871130100       93,120       4,800       X        28-5284     3300                1500
                                                              40,740       2,100       X    X   28-5284                         2100

SYCAMORE NETWORKS INC          COM            871206108          122          30       X        28-5284       30

SYMANTEC CORP                  COM            871503108      660,341      42,493       X        28-5284    36733                5760
                                                             553,597      35,624       X    X   28-5284    27153                8471
                                                             146,076       9,400       X       28-11439     9400

SYMBOL TECHNOLOGIES INC        COM            871508107       34,183       3,168       X        28-5284     3168
                                                               4,856         450       X    X   28-5284      450
                                                              16,379       1,518       X    X   28-1500     1518

SYNGENTA AG                    SPONSORED ADR  87160A100       45,152       1,700       X        28-5284     1700
                                                              25,365         955       X    X   28-5284        5                 950

SYNOVUS FINL CORP              COM            87161C105   36,879,006   1,377,110       X        28-5284  1321795               55315
                                                           6,929,111     258,742       X    X   28-5284   242950      4225     11567
                                                             567,495      21,191       X        28-1500    10451     10740

SYNERGY FINANCIAL GROUP INC    COM            87162V102        7,500         500       X    X   28-5284      500

SYPRIS SOLUTIONS INC           COM            871655106       76,640       8,110       X        28-1500     8110
               COLUMN TOTAL                               47,896,951






                                                                                                                   FILE NO. 28-1235
 PAGE   175 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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   29,572,484     967,686       X        28-5284   967137                 549
                                                           7,642,628     250,086       X    X   28-5284   246291      1125      2670
                                                              68,852       2,253       X    X   28-1500     2253
                                                             148,185       4,849       X        28-4580     4849
                                                             247,139       8,087       X    X   28-4580     8087

TCF FINL CORP                  COM            872275102    1,097,675      41,500       X        28-5284    41500
                                                             573,965      21,700       X    X   28-5284    17000                4700

TC PIPELINES LP                UT COM LTD PRT 87233Q108      132,000       4,000       X        28-5284     4000

TCW STRATEGIC INCOME FUND IN   COM            872340104        6,389       1,371       X    X   28-5284     1371

TD BANKNORTH INC               COM            87235A101      168,896       5,735       X        28-5284     4405                1330
                                                             251,974       8,556       X    X   28-5284     3594      2982      1980

TDK CORP                       AMERN DEP SH   872351408       22,734         300       X    X   28-5284                          300

TD AMERITRADE HLDG CORP        COM            87236Y108       38,713       2,614       X        28-5284     2614
                                                               6,842         462       X    X   28-5284      462

TECO ENERGY INC                COM            872375100      352,136      23,570       X        28-5284    23570
                                                             759,684      50,849       X    X   28-5284    50849
                                                              14,940       1,000       X        28-1500               1000

TEPPCO PARTNERS L P            UT LTD PARTNER 872384102      446,618      12,670       X        28-5284    12670
                                                             345,450       9,800       X    X   28-5284     9300                 500
                                                               3,878         110       X    X   28-4580       27                  83

TF FINL CORP                   COM            872391107       28,850       1,000       X    X   28-5284                         1000

TGC INDS INC                   COM NEW        872417308      445,710      41,500       X        28-5284    41500
                                                             338,310      31,500       X    X   28-5284    31500

THQ INC                        COM NEW        872443403       43,200       2,000       X    X   28-5284     2000
                                                               3,110         144       X        28-1500      144

TJX COS INC NEW                COM            872540109   31,057,002   1,358,574       X        28-5284  1326999               31575
                                                           9,396,192     411,032       X    X   28-5284   400032      4000      7000
                                                             205,763       9,001       X        28-1500     9001
                                                              20,688         905       X        28-4580      905
                                                              89,154       3,900       X    X   28-4580     3900
               COLUMN TOTAL                               83,529,161






                                                                                                                   FILE NO. 28-1235
 PAGE   176 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TLC VISION CORP                COM            872549100       36,182       7,900       X        28-1500     7900

TNT N V                        SPONSORED ADR  87260W101        1,969          55       X        28-5284       55
                                                                 644          18       X    X   28-5284       18

TRC COS INC                    COM            872625108       10,530       1,000       X        28-4580     1000

TVI CORP NEW                   COM            872916101        8,825       2,500       X        28-5284     2500
                                                              73,975      20,956       X    X   28-5284                        20956

TNS INC                        COM            872960109       77,691       3,755       X    X   28-5284                         3755

TXU CORP                       COM            873168108    1,148,028      19,201       X        28-5284    19131                  70
                                                           1,928,706      32,258       X    X   28-5284    31958                 300
                                                             132,853       2,222       X    X   28-1500     2222
                                                               7,892         132       X        28-4580      132

TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100       87,054       9,483       X        28-5284     9483
                                                               5,122         558       X    X   28-5284      558

TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109          812          75       X        28-5284       75
                                                                 541          50       X    X   28-5284       50

TALBOTS INC                    COM            874161102        3,690         200       X        28-5284      200
                                                               1,845         100       X    X   28-5284      100

TALISMAN ENERGY INC            COM            87425E103        6,992         400       X        28-5284      400
                                                              10,488         600       X    X   28-5284      600
                                                              78,660       4,500       X        28-4580     4500

TALK AMERICA HOLDINGS INC      COM            87426R202      209,222      33,800       X                   33800

TANGER FACTORY OUTLET CTRS I   COM            875465106       77,688       2,400       X        28-5284     2400
                                                              89,018       2,750       X    X   28-5284     2750

TARGET CORP                    COM            87612E106  158,984,373   3,253,210       X        28-5284  2679552              573658
                                                          11,249,532     230,193       X    X   28-5284   221210       300      8683
                                                             255,492       5,228       X        28-1500               5228
                                                              85,034       1,740       X        28-4580     1740
                                                           1,280,394      26,200       X    X   28-4580    26200

TARRANT APPAREL GROUP          COM            876289109      124,190      63,687       X    X   28-5284                        63687

TASER INTL INC                 COM            87651B104          791         100       X    X   28-5284      100
               COLUMN TOTAL                              175,978,233






                                                                                                                   FILE NO. 28-1235
 PAGE   177 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TASEKO MINES LTD               COM            876511106          256         100       X        28-5284      100

TASTY BAKING CO                COM            876553306        4,700         500       X        28-5284      500
                                                               7,050         750       X    X   28-5284      750

TATA MTRS LTD                  SPONSORED ADR  876568502       25,875       1,500       X        28-5284     1500
                                                              55,683       3,228       X    X   28-4580     3228

TAUBMAN CTRS INC               COM            876664103        4,908         120       X        28-5284      120

TEAM INC                       COM            878155100      463,425      18,500       X    X   28-5284    18500

TECH DATA CORP                 COM            878237106       17,776         464       X        28-5284      464
                                                                 268           7       X    X   28-5284        7

TECHNE CORP                    COM            878377100       50,920       1,000       X        28-5284     1000
                                                             152,760       3,000       X    X   28-5284     3000

TECHNITROL INC                 COM            878555101       46,300       2,000       X    X   28-5284                         2000

TECHNOLOGY INVT CAP CORP       COM            878717305       14,650       1,000       X    X   28-5284     1000

TECHNOLOGY RESH CORP           COM NEW        878727304        2,545         500       X        28-5284      500

TECUMSEH PRODS CO              CL B           878895101       24,599       1,550       X        28-5284     1550

TECUMSEH PRODS CO              CL A           878895200       76,800       4,000       X        28-5284     4000

TEGAL CORP                     COM            879008100          359         945       X        28-5284      945

TEKELEC                        COM            879101103       11,029         893       X        28-5284      893

TEKTRONIX INC                  COM            879131100        5,649         192       X        28-5284      192

TELECOM ITALIA S P A NEW       SPON ADR ORD   87927Y102          363          13       X    X   28-5284       13

TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208       26,175       1,316       X        28-5284     1316
                                                             149,175       7,500       X    X   28-5284     7500
                                                             102,434       5,150       X    X   28-1500     5150
                                                              39,780       2,000       X    X   28-4580     2000

TELECOMUNICACOES DE SAO PAUL   SPON ADR PFD   87929A102       14,770         700       X        28-5284      700
               COLUMN TOTAL                                1,298,249






                                                                                                                   FILE NO. 28-1235
 PAGE   178 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TELEFLEX INC                   COM            879369106    1,627,947      30,136       X        28-5284    26636                3500
                                                             499,685       9,250       X    X   28-5284     9250
                                                              35,113         650       X    X   28-1500      650
                                                              32,412         600       X    X   28-4580      600

TELEFONICA S A                 SPONSORED ADR  879382208      298,788       6,007       X        28-5284     6007
                                                             172,598       3,470       X    X   28-5284     3470

TELEFONOS DE MEXICO S A        SPON ADR A SHS 879403707       55,807       2,696       X        28-5284     2696
                                                              13,248         640       X    X   28-5284      640

TELEFONOS DE MEXICO S A        SPON ADR ORD L 879403780      145,727       6,996       X        28-5284     6996
                                                             139,561       6,700       X    X   28-5284     4700                2000
                                                              41,660       2,000       X    X   28-1500     2000
                                                              16,664         800       X    X   28-4580      800

TELEPHONE & DATA SYS INC       COM            879433100        8,280         200       X        28-5284      200
                                                               4,140         100       X    X   28-5284      100

TELEPHONE & DATA SYS INC       SPL COM        879433860        7,780         200       X        28-5284      200
                                                               3,890         100       X    X   28-5284      100

TELKONET INC                   COM            879604106       31,400      10,000       X        28-5284    10000
                                                              47,100      15,000       X    X   28-5284                        15000

TELLABS INC                    COM            879664100       67,775       5,092       X        28-5284     4492                 600
                                                              70,543       5,300       X    X   28-5284      500                4800
                                                               3,993         300       X    X   28-1500      300

TELSTRA CORP LTD               SPON ADR FINAL 87969N204          712          52       X        28-5284       52
                                                              41,100       3,000       X    X   28-5284     3000

TELULAR CORP                   COM NEW        87970T208          201         100       X    X   28-5284      100

TEMPLE INLAND INC              COM            879868107       72,064       1,681       X        28-5284     1681
                                                             133,754       3,120       X    X   28-5284     3120

TEMPLETON DRAGON FD INC        COM            88018T101       16,504         800       X        28-5284      800
                                                             150,599       7,300       X    X   28-5284     7300
                                                             111,835       5,421       X        28-1500               5421

TEMPLETON EMERGING MKTS FD I   COM            880191101       78,122       4,300       X        28-5284     4300
                                                              18,168       1,000       X    X   28-5284     1000
               COLUMN TOTAL                                3,947,170






                                                                                                                   FILE NO. 28-1235
 PAGE   179 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TEMPLETON EMERG MKTS INCOME    COM            880192109       66,696       5,558       X        28-5284     5558
                                                              95,532       7,961       X    X   28-5284     4500                3461

TEMPLETON GLOBAL INCOME FD     COM            880198106       64,575       7,500       X        28-5284     7500
                                                             149,444      17,357       X    X   28-5284    17357

TENARIS S A                    SPONSORED ADR  88031M109       20,245         500       X        28-5284      500
                                                              14,172         350       X    X   28-5284      350

TENET HEALTHCARE CORP          COM            88033G100        1,843         264       X        28-5284      264
                                                                 370          53       X    X   28-5284       53
                                                             143,090      20,500       X       28-11439    20500

TENNANT CO                     COM            880345103       20,112         400       X    X   28-1500      400

TENNECO INC                    COM            880349105          156           6       X        28-5284        6

TERADYNE INC                   COM            880770102       51,945       3,729       X        28-5284     3729
                                                              43,573       3,128       X    X   28-5284     3128
                                                              89,152       6,400       X    X   28-4580     6400

TEREX CORP NEW                 COM            880779103    1,078,692      10,929       X    X   28-5284    10929

TESORO CORP                    COM            881609101       11,600         156       X    X   28-5284       56                 100
                                                               4,313          58       X    X   28-4580       14                  44

TETRA TECHNOLOGIES INC DEL     COM            88162F105        7,342         242       X    X   28-4580       54                 188

TETRA TECH INC NEW             COM            88162G103       11,850         668       X        28-5284      668

TEVA PHARMACEUTICAL INDS LTD   ADR            881624209   16,270,145     515,041       X        28-5284   499001               16040
                                                           9,079,598     287,420       X    X   28-5284   278085       250      9085
                                                              25,272         800       X        28-1500      800
                                                              62,548       1,980       X    X   28-1500     1980
                                                              83,714       2,650       X        28-4580     2650
                                                             129,361       4,095       X    X   28-4580     4095

TESSERA TECHNOLOGIES INC       COM            88164L100        9,625         350       X    X   28-5284      350

TEVA PHARMACEUTICAL FIN II L   DBCV  0.250% 2 88164RAB3      310,500       3,000       X        28-5284     3000

TEVA PHARMACEUTICAL FIN CO B   NOTE  1.750% 2 88165FAA0      182,250       2,000       X        28-5284     2000
               COLUMN TOTAL                               28,027,715






                                                                                                                   FILE NO. 28-1235
 PAGE   180 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 INDS INC                 COM            882491103      371,700       7,000       X    X   28-5284     7000

TEXAS INSTRS INC               COM            882508104   46,092,959   1,521,722       X        28-5284  1470012      1200     50510
                                                          33,754,328   1,114,372       X    X   28-5284  1072999     23290     18083
                                                             231,204       7,633       X        28-1500     1212      6421
                                                             121,160       4,000       X       28-11439     4000
                                                             567,665      18,741       X        28-4580    18151                 590
                                                             124,795       4,120       X    X   28-4580     4120

TEXAS PAC LD TR                SUB CTF PROP I 882610108      245,438       1,650       X        28-5284     1650
                                                              14,875         100       X    X   28-5284      100

TEXAS REGL BANCSHARES INC      CL A VTG       882673106      300,326       7,920       X    X   28-5284     7920

TEXAS ROADHOUSE INC            CL A           882681109    1,587,870     117,446       X        28-5284   117446
                                                              69,642       5,151       X        28-1500     5151

TEXTRON INC                    COM            883203101    1,188,845      12,897       X        28-5284    11297                1600
                                                           1,389,153      15,070       X    X   28-5284    15070

THERMO ELECTRON CORP           COM            883556102       96,761       2,670       X        28-5284     1270                1400
                                                             186,636       5,150       X    X   28-5284     3450                1700

THOMAS & BETTS CORP            COM            884315102      769,141      14,993       X        28-5284    13393                1600
                                                              28,215         550       X    X   28-5284      550

THOMSON CORP                   COM            884903105       15,408         400       X    X   28-5284      400

THOR INDS INC                  COM            885160101       51,405       1,061       X        28-5284     1061
                                                             102,956       2,125       X    X   28-5284     2125

THORNBURG MTG INC              COM            885218107      384,606      13,800       X        28-5284    13800
                                                             767,122      27,525       X    X   28-5284    22525                5000
                                                              79,848       2,865       X    X   28-1500     2865
                                                              27,870       1,000       X        28-4580     1000
                                                              10,145         364       X    X   28-4580      364

3COM CORP                      COM            885535104        3,840         750       X        28-5284      750
                                                              10,752       2,100       X    X   28-5284     1500                 600
                                                              23,741       4,637       X        28-1500     4637
               COLUMN TOTAL                               88,618,406






                                                                                                                   FILE NO. 28-1235
 PAGE   181 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
3M CO                          COM            88579Y101  131,399,705   1,626,838       X        28-5284  1574344       460     52034
                                                         104,833,564   1,297,927       X    X   28-5284  1245044      7790     45093
                                                           1,140,069      14,115       X        28-1500              14115
                                                           1,736,555      21,500       X       28-11439    21500
                                                           4,101,743      50,783       X        28-4580    50783
                                                           5,853,160      72,467       X    X   28-4580    69335                3132

TIBCO SOFTWARE INC             COM            88632Q103          345          49       X    X   28-5284       49
                                                              36,900       5,234       X        28-1500     5234

TIDEWATER INC                  COM            886423102      231,240       4,700       X        28-5284     4700

TIFFANY & CO NEW               COM            886547108       16,510         500       X        28-5284      500
                                                              68,649       2,079       X    X   28-5284      129                1950
                                                              17,501         530       X    X   28-1500      530

TIM HORTONS INC                COM            88706M103        2,575         100       X        28-5284      100
                                                              15,450         600       X    X   28-5284      600

TIMBERLAND CO                  CL A           887100105        5,220         200       X        28-5284      200

TIME WARNER INC                COM            887317105    5,288,956     305,720       X        28-5284   222812               82908
                                                           4,211,875     243,461       X    X   28-5284   175299      4761     63401
                                                             110,858       6,408       X        28-1500               6408
                                                             354,581      20,496       X       28-11439    20496
                                                              77,729       4,493       X        28-4580     4493
                                                              27,680       1,600       X    X   28-4580     1600

TIMKEN CO                      COM            887389104        4,725         141       X        28-5284      141
                                                             255,246       7,617       X    X   28-5284     7617

TITANIUM METALS CORP           COM NEW        888339207      151,272       4,400       X        28-5284     4400
                                                              59,821       1,740       X    X   28-5284     1740

TODCO                          CL A           88889T107      551,475      13,500       X        28-5284    13500

TOLL BROTHERS INC              COM            889478103      184,104       7,200       X        28-5284     7200
                                                              14,064         550       X    X   28-5284      550

TOLLGRADE COMMUNICATIONS INC   COM            889542106       72,750       7,500       X        28-5284     7500

TOMKINS PLC                    SPONSORED ADR  890030208        2,155         100       X        28-5284      100
               COLUMN TOTAL                              260,826,477






                                                                                                                   FILE NO. 28-1235
 PAGE   182 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TOMPKINSTRUSTCO INC            COM            890110109       11,438         266       X    X   28-5284                          266

TOO INC                        COM            890333107        1,612          42       X        28-5284       42

TOOTSIE ROLL INDS INC          COM            890516107    1,578,992      54,205       X        28-5284    50906                3299
                                                             185,005       6,351       X    X   28-5284     6351

TORCHMARK CORP                 COM            891027104      346,104       5,700       X        28-5284     5700
                                                             309,672       5,100       X    X   28-5284     5100

TOREADOR RES CORP              COM            891050106      148,386       5,275       X    X   28-5284                         5275

TORO CO                        COM            891092108      308,220       6,600       X        28-5284     6600
                                                             373,600       8,000       X    X   28-5284     8000

TORONTO DOMINION BK ONT        COM NEW        891160509       14,723         290       X        28-5284      290
                                                             231,867       4,567       X    X   28-5284     4567

TORTOISE ENERGY INFRSTRCTR C   COM            89147L100       28,669       1,000       X    X   28-5284     1000

TORTOISE ENERGY CAP CORP       COM            89147U100       21,550       1,000       X        28-5284     1000

TOTAL S A                      SPONSORED ADR  89151E109      600,163       9,160       X        28-5284     9160
                                                             750,204      11,450       X    X   28-5284     8468       532      2450
                                                               5,635          86       X    X   28-4580       28                  58

TOYOTA MOTOR CORP              SP ADR REP2COM 892331307      475,257       4,544       X        28-5284     4344                 200
                                                             687,365       6,572       X    X   28-5284     6572
                                                              26,148         250       X        28-1500                250

TRACTOR SUPPLY CO              COM            892356106        5,527         100       X        28-5284                          100
                                                               2,764          50       X    X   28-5284       50
                                                               5,527         100       X    X   28-1500      100

TRANSACTION SYS ARCHITECTS     COM            893416107        3,127          75       X        28-5284       75
                                                           1,111,039      26,650       X    X   28-5284    26650

TRANSAMERICA INCOME SHS INC    COM            893506105        7,804         400       X    X   28-5284      400

TRANSATLANTIC HLDGS INC        COM            893521104      199,116       3,562       X        28-5284     3562

TRANSCANADA CORP               COM            89353D107       11,472         400       X        28-5284      400
                                                             160,608       5,600       X    X   28-5284     1500                4100
               COLUMN TOTAL                                7,611,594






                                                                                                                   FILE NO. 28-1235
 PAGE   183 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TRANSGLOBE ENERGY CORP         COM            893662106        4,850       1,000       X        28-5284                         1000

TRANSMERIDIAN EXPL INC         COM            89376N108        8,550       1,500       X        28-5284     1500
                                                              28,500       5,000       X    X   28-5284     5000

TRANSMETA CORP DEL             COM            89376R109        1,640       1,000       X        28-5284     1000

TRAVELERS PPTY CAS CORP NEW    NT CV JR 2032  89420G307        9,955         406       X    X   28-5284      406

TREEHOUSE FOODS INC            COM            89469A104        4,778         200       X        28-5284      200

TRI CONTL CORP                 COM            895436103       64,549       3,317       X        28-5284     3317
                                                             381,319      19,595       X    X   28-5284    19595

TRIAD HOSPITALS INC            COM            89579K109       81,654       2,063       X        28-5284     2032                  31

TRIAD GTY INC                  COM            895925105       12,660         259       X    X   28-5284      259

TRIARC COS INC                 CL B SER 1     895927309       19,225       1,230       X        28-5284     1230

TRIBUNE CO NEW                 COM            896047107      716,152      22,083       X        28-5284    22083
                                                             363,378      11,205       X    X   28-5284     9405                1800

TRINITY INDS INC               COM            896522109      359,641       8,902       X        28-5284     8902

TRIQUINT SEMICONDUCTOR INC     COM            89674K103          446         100       X    X   28-5284      100

TRIZEC PROPERTIES INC          COM            89687P107       10,024         350       X        28-5284      350

TRIPATH IMAGING INC            COM            896942109        6,620       1,000       X        28-5284     1000
                                                             139,146      21,019       X    X   28-5284                        21019
                                                              15,676       2,368       X        28-1500     2368

TRONOX INC                     COM CL B       897051207       10,404         790       X        28-5284      790
                                                               5,387         409       X    X   28-5284      409
                                                                 145          11       X    X   28-1500       11

TRUSTCO BK CORP N Y            COM            898349105       34,382       3,120       X    X   28-5284     3120

TRUSTMARK CORP                 COM            898402102       30,970       1,000       X        28-5284     1000
                                                             107,497       3,471       X    X   28-1500     3471
               COLUMN TOTAL                                2,417,548






                                                                                                                   FILE NO. 28-1235
 PAGE   184 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
TRUSTREET PPTYS INC            COM            898404108       14,575       1,105       X        28-5284     1105
                                                               1,979         150       X    X   28-5284      150

TUPPERWARE BRANDS CORP         COM            899896104       41,054       2,085       X        28-5284     2085
                                                              48,496       2,463       X    X   28-5284     2463

II VI INC                      COM            902104108       58,560       3,200       X        28-5284     3200
                                                             734,489      40,136       X    X   28-5284    40136

TYCO INTL LTD NEW              COM            902124106   24,645,775     896,210       X        28-5284   824610               71600
                                                          10,325,398     375,469       X    X   28-5284   316975     36944     21550
                                                             229,075       8,330       X        28-1500     8330
                                                             462,000      16,800       X    X   28-1500    16800
                                                             616,000      22,400       X       28-11439    22400
                                                              26,895         978       X        28-4580      978
                                                             169,125       6,150       X    X   28-4580     6150

TYSON FOODS INC                CL A           902494103       54,343       3,657       X        28-5284     3657
                                                               2,467         166       X    X   28-5284      166

UCBH HOLDINGS INC              COM            90262T308       19,153       1,158       X        28-5284     1158

UGI CORP NEW                   COM            902681105      391,483      15,901       X        28-5284    15901
                                                             423,021      17,182       X    X   28-5284    17182

UIL HLDG CORP                  COM            902748102       25,331         450       X        28-5284      450
                                                              39,403         700       X    X   28-5284      700

UST INC                        COM            902911106      515,211      11,401       X        28-5284    11401
                                                           3,604,038      79,753       X    X   28-5284    79753
                                                              45,190       1,000       X        28-4580     1000

USA TRUCK INC                  COM            902925106       48,435       2,718       X    X   28-1500     2718

US BANCORP DEL                 COM NEW        902973304   94,462,414   3,059,016       X        28-5284  2990030               68986
                                                          18,523,399     599,851       X    X   28-5284   499026     11413     89412
                                                          12,633,749     409,124       X        28-1500   336630     72494
                                                              19,115         619       X        28-4580      619
                                                              30,880       1,000       X    X   28-4580     1000

U S G CORP                     COM NEW        903293405      317,756       4,357       X        28-5284     4357
                                                               7,293         100       X    X   28-5284      100
               COLUMN TOTAL                              168,536,102






                                                                                                                   FILE NO. 28-1235
 PAGE   185 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
USEC INC                       COM            90333E108       11,850       1,000       X    X   28-5284     1000

U S PHYSICAL THERAPY INC       COM            90337L108       51,342       3,507       X        28-1500     3307       200

U S AIRWAYS GROUP INC          COM            90341W108       19,054         377       X    X   28-5284      377

ULTRA PETROLEUM CORP           COM            903914109       68,161       1,150       X        28-5284     1150
                                                              62,826       1,060       X    X   28-5284     1060
                                                               4,682          79       X    X   28-4580       11                  68

UNDER ARMOUR INC               CL A           904311107       25,998         610       X    X   28-5284      310                 300

UNILEVER PLC                   SPON ADR NEW   904767704        8,002         355       X        28-5284      355
                                                             115,247       5,113       X    X   28-5284     4753                 360
                                                              28,964       1,285       X    X   28-4580     1285

UNILEVER N V                   N Y SHS NEW    904784709   11,453,867     507,932       X        28-5284   477833               30099
                                                           8,654,374     383,786       X    X   28-5284   368840               14946
                                                              48,843       2,166       X        28-4580     1866                 300
                                                              97,957       4,344       X    X   28-4580     4344

UNION BANKSHARES INC           COM            905400107       87,600       4,000       X    X   28-5284     4000

UNION PAC CORP                 COM            907818108   22,085,065     237,576       X        28-5284   228226                9350
                                                          15,209,372     163,612       X    X   28-5284   157215        80      6317
                                                              23,426         252       X        28-1500                252
                                                              51,128         550       X        28-4580      550
                                                             356,966       3,840       X    X   28-4580     3840

UNIONBANCAL CORP               COM            908906100    6,646,311     102,900       X        28-1500   102900

UNISYS CORP                    COM            909214108        8,478       1,350       X        28-5284     1350
                                                               9,897       1,576       X    X   28-5284     1576

UNIT CORP                      COM            909218109      227,560       4,000       X        28-5284     4000
                                                           1,152,023      20,250       X    X   28-5284    20250

UNITED AMER INDEMNITY LTD      CL A           90933T109   51,840,938   2,487,569       X    X   28-5284            2487569

UNITED BANKSHARES INC WEST V   COM            909907107      916,592      25,023       X        28-5284    25023
                                                             147,985       4,040       X    X   28-5284     4040

UNITED BANCORP INC OHIO        COM            909911109       45,188       4,108       X        28-5284     4108
               COLUMN TOTAL                              119,459,696






                                                                                                                   FILE NO. 28-1235
 PAGE   186 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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 DOMINION REALTY TR IN   COM            910197102      140,050       5,000       X        28-5284     5000
                                                             250,605       8,947       X    X   28-5284     8947

UNITED FIRE & CAS CO           COM            910331107        3,013         100       X    X   28-5284      100

UNITED INDL CORP               COM            910671106       15,838         350       X    X   28-5284                          350

UNITED NAT FOODS INC           COM            911163103        2,477          75       X        28-5284       75
                                                             104,013       3,150       X    X   28-5284     3150

UNITED PARCEL SERVICE INC      CL B           911312106   61,494,994     746,933       X        28-5284   672687               74246
                                                          69,202,893     840,555       X    X   28-5284   837670      2000       885
                                                              49,398         600       X        28-1500                600
                                                              45,282         550       X        28-4580      550
                                                              54,008         656       X    X   28-4580      599                  57

UNITED RENTALS INC             COM            911363109          288           9       X    X   28-5284        9

UNITED SEC BANCSHARES INC      SHS            911459105    3,590,864     121,395       X        28-1500   121395

U STORE IT TR                  COM            91274F104       18,860       1,000       X    X   28-5284     1000

UNITED STATES STL CORP NEW     COM            912909108    1,237,127      17,643       X        28-5284    16257                1386
                                                              98,869       1,410       X    X   28-5284     1410
                                                           1,784,554      25,450       X       28-11439    25450

UNITED TECHNOLOGIES CORP       COM            913017109  110,362,342   1,740,182       X        28-5284  1708747       800     30635
                                                          88,263,897   1,391,736       X    X   28-5284  1365715      5638     20383
                                                              99,316       1,566       X        28-1500               1566
                                                           2,195,664      34,621       X        28-4580    34121                 500
                                                           2,190,146      34,534       X    X   28-4580    34392                 142

UNITED THERAPEUTICS CORP DEL   COM            91307C102       31,774         550       X    X   28-5284      550

UNITEDHEALTH GROUP INC         COM            91324P102   12,887,326     287,792       X        28-5284   242692               45100
                                                           4,343,794      97,003       X    X   28-5284    77803       300     18900
                                                             123,145       2,750       X        28-1500               2750
                                                             855,298      19,100       X        28-4580    19100
                                                              40,302         900       X    X   28-4580      900

UNITRIN INC                    COM            913275103      162,286       3,723       X        28-5284     3723

UNIVERSAL AMERN FINL CORP      COM            913377107        3,945         300       X    X   28-5284      300
               COLUMN TOTAL                              359,652,368






                                                                                                                   FILE NO. 28-1235
 PAGE   187 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
UNIVERSAL COMPRESSION HLDGS    COM            913431102       25,440         404       X        28-5284      404

UNIVERSAL CORP VA              COM            913456109       37,220       1,000       X    X   28-5284     1000

UNIVERSAL DISPLAY CORP         COM            91347P105       47,916       3,600       X        28-5284     1600                2000
                                                              24,144       1,814       X        28-1500     1814

UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105      142,643       4,550       X    X   28-5284     3200                1350

UNIVERSAL STAINLESS & ALLOY    COM            913837100       64,394       2,200       X    X   28-5284     2200

UNIVERSAL HLTH SVCS INC        CL B           913903100       34,026         677       X        28-5284      677
                                                              71,621       1,425       X    X   28-5284      225                1200

UNIVEST CORP PA                COM            915271100      155,363       5,625       X    X   28-5284     5625

UNUMPROVIDENT CORP             COM            91529Y106      119,694       6,602       X        28-5284     3802                2800
                                                             172,833       9,533       X    X   28-5284     9533

UPM KYMMENE CORP               SPONSORED ADR  915436109          623          29       X        28-5284       29

URBAN OUTFITTERS INC           COM            917047102       11,369         650       X        28-5284      650
                                                              50,721       2,900       X    X   28-5284     2900

URSTADT BIDDLE PPTYS INS       CL A           917286205       12,218         750       X        28-5284      750
                                                               8,145         500       X    X   28-5284      500

UTSTARCOM INC                  COM            918076100      200,359      25,720       X        28-5284    25720
                                                                 935         120       X    X   28-5284      120
                                                              48,329       6,204       X       28-11439     6204

VA SOFTWARE CORP               COM            91819B105        1,164         300       X    X   28-1500      300

V F CORP                       COM            918204108    1,154,640      17,000       X        28-5284    17000
                                                        1451,606,480  21,372,298       X    X   28-5284    41800  21330498
                                                              55,015         810       X    X   28-1500      810
                                                          23,575,372     347,105       X    X   28-4580             347105

VAIL BANKS INC                 COM            918779109    1,159,536      69,600       X        28-1500    69600

VAIL RESORTS INC               COM            91879Q109        4,007         108       X    X   28-5284      108

VALASSIS COMMUNICATIONS INC    COM            918866104          307          13       X    X   28-5284       13
               COLUMN TOTAL                            1,478,784,514






                                                                                                                   FILE NO. 28-1235
 PAGE   188 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VALHI INC NEW                  COM            918905100        9,059         369       X        28-5284      369
                                                                 638          26       X    X   28-5284       26

VALENCE TECHNOLOGY INC         COM            918914102          346         200       X        28-5284      200
                                                               3,460       2,000       X    X   28-5284     2000

VALERO L P                     COM UT LTD PRT 91913W104      154,021       3,121       X        28-5284     3121
                                                             250,451       5,075       X    X   28-5284     5075
                                                               2,813          57       X    X   28-4580       13                  44

VALERO ENERGY CORP NEW         COM            91913Y100      438,965       6,599       X        28-5284     6599
                                                           1,296,142      19,485       X    X   28-5284    18985                 500
                                                             654,224       9,835       X    X   28-1500     9835
                                                           1,024,408      15,400       X       28-11439    15400
                                                               3,925          59       X    X   28-4580       12                  47

VALLEY NATL BANCORP            COM            919794107       56,665       2,204       X        28-5284     2204
                                                             363,488      14,138       X    X   28-5284     8971                5167

VALOR COMMUNICATIONS GROUP I   COM            920255106        8,015         700       X    X   28-5284      700
                                                               3,435         300       X    X   28-1500      300

VALSPAR CORP                   COM            920355104      337,441      12,777       X        28-5284    12777
                                                             343,330      13,000       X    X   28-5284    13000

VALUECLICK INC                 COM            92046N102        6,186         403       X        28-5284      403
                                                              58,330       3,800       X    X   28-5284     3800

VAN KAMPEN MUN TR              SH BEN INT     920919107       94,772       6,646       X        28-5284     6646
                                                              14,260       1,000       X    X   28-1500     1000
                                                               4,278         300       X    X   28-4580      300

VAN KAMPEN OHIO QUALITY MUN    COM            920923109       35,434       2,367       X        28-5284     2367

VAN KAMPEN TR INSD MUNS        COM            920928108       46,269       3,365       X    X   28-5284     3365

VAN KAMPEN TR INVT GRADE MUN   COM            920929106      118,520       8,323       X        28-5284     8323
                                                              18,982       1,333       X    X   28-5284     1333

VAN KAMPEN TR INVT GRADE N J   COM            920933108        5,163         328       X    X   28-5284      328

VAN KAMPEN MUN OPPORTUNITY T   COM            920935103       82,438       5,855       X        28-5284     5855
                                                               5,632         400       X    X   28-5284      400
               COLUMN TOTAL                                5,441,090






                                                                                                                   FILE NO. 28-1235
 PAGE   189 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VAN KAMPEN BD FD               COM            920955101        3,278         200       X    X   28-5284      200

VAN KAMPEN ADVANTAGE MUN II    SH BEN INT     92112K107      149,603      12,055       X        28-5284    12055
                                                              32,862       2,648       X    X   28-5284     2648

VAN KAMPEN SELECT SECTOR MUN   COM            92112M103      105,216       8,674       X        28-5284     8674

VAN KAMPEN MASS VALUE MUN IN   COM SH BEN INT 92112R102       21,750       1,500       X    X   28-5284     1500

VAN KAMPEN PA VALUE MUN INCO   COM            92112T108      752,928      57,040       X        28-5284    57040
                                                             304,801      23,091       X    X   28-5284    23091

VANGUARD SECTOR INDEX FDS      CONSUMER DISC  92204A108       13,333         250       X        28-5284      250

VANGUARD SECTOR INDEX FDS      CNS STP VIPERS 92204A207       31,399         533       X        28-5284      533

VANGUARD SECTOR INDEX FDS      ENERGY VIPERS  92204A306       61,090         745       X        28-5284      745
                                                               5,330          65       X    X   28-5284       65

VANGUARD SECTOR INDEX FDS      HTH CARE VIPER 92204A504       64,443       1,231       X        28-5284     1231
                                                              10,470         200       X    X   28-5284      200

VANGUARD SECTOR INDEX FDS      INDSTRS VIPERS 92204A603      532,350       8,504       X        28-5284     8504
                                                             173,715       2,775       X    X   28-5284     2775

VANGUARD SECTOR INDEX FDS      INF TECH VIPER 92204A702      867,275      18,760       X        28-5284    18760
                                                             899,543      19,458       X    X   28-5284    19458

VANGUARD SECTOR INDEX FDS      MATLS VIPERS   92204A801      498,250       7,738       X        28-5284     7602                 136
                                                              47,777         742       X    X   28-5284      742

VANGUARD SECTOR INDEX FDS      UTILS VIPERS   92204A876       33,790         500       X    X   28-4580      500

VANGUARD SECTOR INDEX FDS      TELCOMM VIPERS 92204A884       19,052         307       X        28-5284      307

VANGUARD INTL EQUITY INDEX F   EMR MKT VIPERS 922042858    1,483,775      23,083       X        28-5284    22983                 100
                                                           1,170,025      18,202       X    X   28-5284    17899                 303
                                                              21,534         335       X    X   28-1500      335

VANGUARD INTL EQUITY INDEX F   PACIFIC VIPERS 922042866      189,210       3,023       X        28-5284     3023
                                                              37,053         592       X    X   28-5284      592

VANGUARD INTL EQUITY INDEX F   EURO VIPERS    922042874       83,164       1,390       X        28-5284     1390
               COLUMN TOTAL                                7,613,016






                                                                                                                   FILE NO. 28-1235
 PAGE   190 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VARIAN MED SYS INC             COM            92220P105   14,765,624     311,840       X        28-5284   307340       100      4400
                                                           3,984,266      84,145       X    X   28-5284    77720      4000      2425
                                                              34,613         731       X        28-1500      731
                                                              74,482       1,573       X    X   28-1500     1573
                                                              18,940         400       X        28-4580      400
                                                              47,350       1,000       X    X   28-4580     1000

VARIAN INC                     COM            922206107        8,302         200       X    X   28-5284      200

VARIAN SEMICONDUCTOR EQUIPMN   COM            922207105        9,783         300       X    X   28-5284      300

VASCO DATA SEC INTL INC        COM            92230Y104    1,204,905     144,300       X        28-5284   144300

VECTREN CORP                   COM            92240G101      331,197      12,154       X        28-5284    12154
                                                             287,706      10,558       X    X   28-5284    10558
                                                             177,125       6,500       X    X   28-1500     6500

VECTOR GROUP LTD               COM            92240M108       11,294         695       X        28-5284      695

VEECO INSTRS INC DEL           COM            922417100        2,384         100       X        28-1500      100

VENTAS INC                     COM            92276F100      399,818      11,801       X        28-5284     7450                4351
                                                              74,163       2,189       X    X   28-5284     2189

VANGUARD INDEX FDS             REIT VIPERS    922908553       66,963       1,010       X        28-5284     1010

VANGUARD INDEX FDS             SML CP G VIPER 922908595       32,846         534       X        28-5284      159                 375

VANGUARD INDEX FDS             SM CP V VIPERS 922908611       44,739         682       X        28-5284      307                 375

VANGUARD INDEX FDS             MID CAP VIPERS 922908629      655,382       9,718       X        28-5284     9718
                                                             110,332       1,636       X    X   28-5284     1636

VANGUARD INDEX FDS             LRG CAP VIPERS 922908637    1,564,789      27,666       X        28-5284    27666
                                                              43,155         763       X    X   28-5284      763

VANGUARD INDEX FDS             EXT MKT VIPERS 922908652       62,885         660       X    X   28-5284      660

VANGUARD INDEX FDS             GROWTH VIPERS  922908736    1,174,663      22,176       X        28-5284    22026                 150

VANGUARD INDEX FDS             VALUE VIPERS   922908744    1,312,225      21,805       X        28-5284    21805
                                                             852,510      14,166       X    X   28-5284    14166
               COLUMN TOTAL                               27,352,441






                                                                                                                   FILE NO. 28-1235
 PAGE   191 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)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             SMLL CP VIPERS 922908751      391,726       6,166       X        28-5284     6166
                                                              78,968       1,243       X    X   28-5284     1243

VANGUARD INDEX FDS             STK MRK VIPERS 922908769   12,316,362      97,509       X        28-5284    96959                 550
                                                           1,775,540      14,057       X    X   28-5284    13932                 125

VERISIGN INC                   COM            92343E102      129,752       5,600       X        28-5284     4100                1500
                                                             157,556       6,800       X    X   28-5284     4800                2000

VERITAS DGC INC                COM            92343P107       11,606         225       X    X   28-5284      225

VERIZON COMMUNICATIONS         COM            92343V104   65,450,813   1,954,339       X        28-5284  1935595               18744
                                                          90,796,949   2,711,166       X    X   28-5284  2305784     41386    363996
                                                             296,387       8,850       X        28-1500               8850
                                                           1,497,137      44,704       X        28-4580    44704
                                                           1,198,842      35,797       X    X   28-4580    34248       590       959

VIAD CORP                      COM NEW        92552R406       18,373         587       X        28-5284      587
                                                              10,955         350       X    X   28-5284      350

VIASAT INC                     COM            92552V100       69,285       2,698       X        28-1500     2698

VIACOM INC NEW                 CL A           92553P102       67,478       1,877       X        28-5284     1480                 397
                                                              60,037       1,670       X    X   28-5284     1317                 353
                                                               8,628         240       X        28-4580      240

VIACOM INC NEW                 CL B           92553P201    4,526,341     126,293       X        28-5284    96018               30275
                                                           2,666,138      74,390       X    X   28-5284    74235                 155
                                                              17,418         486       X        28-1500      486
                                                                 358          10       X       28-11439       10
                                                             137,482       3,836       X        28-4580     3836
                                                              48,061       1,341       X    X   28-4580     1341

VIISAGE TECHNOLOGY INC         COM NEW        92675K205       46,102       3,041       X        28-1500     2941       100

VILLAGE BK & TR FINANCIAL CO   COM            92705T101      942,792      73,369       X    X   28-5284    73369

VIRAGEN INC                    COM NEW        927638403           56         150       X        28-5284      150

VIRGINIA COMM BANCORP INC      COM            92778Q109        7,170         300       X    X   28-5284      300

VIRGINIA FINL GROUP INC        COM            927810101       44,331       1,050       X    X   28-5284                         1050
               COLUMN TOTAL                              182,772,643






                                                                                                                   FILE NO. 28-1235
 PAGE   192 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
VIROPHARMA INC                 COM            928241108        1,940         225       X        28-5284      225

VISHAY INTERTECHNOLOGY INC     COM            928298108      155,727       9,900       X        28-5284     9900
                                                              69,888       4,443       X    X   28-5284     4443

VISTEON CORP                   COM            92839U107        9,597       1,331       X        28-5284     1331
                                                               4,737         657       X    X   28-5284      657
                                                              35,329       4,900       X       28-11439     4900
                                                               1,276         177       X        28-4580      177
                                                                 166          23       X    X   28-4580       23

VITESSE SEMICONDUCTOR CORP     COM            928497106        4,234       2,940       X        28-5284     2940
                                                              62,208      43,200       X    X   28-5284     3200               40000

VIVENDI                        SPON ADR NEW   92851S204       91,325       2,616       X    X   28-5284     2616

VODAFONE GROUP PLC NEW         SPONSORED ADR  92857W100    3,255,258     152,829       X        28-5284   106969               45860
                                                           3,824,245     179,542       X    X   28-5284   150179       800     28563
                                                              88,608       4,160       X        28-1500               4160
                                                              59,321       2,785       X        28-4580     2785
                                                              47,925       2,250       X    X   28-4580     2250

VOLTERRA SEMICONDUCTOR CORP    COM            928708106       38,150       2,500       X    X   28-5284     2500

VORNADO RLTY TR                SH BEN INT     929042109      349,034       3,578       X        28-5284     3578
                                                              92,673         950       X    X   28-5284      950
                                                              39,020         400       X    X   28-1500      400

VULCAN MATLS CO                COM            929160109    2,858,154      36,643       X        28-5284    12640               24003
                                                             616,512       7,904       X    X   28-5284     7254                 650

WCI CMNTYS INC                 COM            92923C104       13,494         670       X        28-5284      670
                                                               4,028         200       X    X   28-5284      200

WD-40 CO                       COM            929236107        3,357         100       X    X   28-5284      100
                                                              16,785         500       X    X   28-1500      500

WGL HLDGS INC                  COM            92924F106       30,629       1,058       X        28-5284     1058
                                                             295,290      10,200       X    X   28-5284     5000                5200

W P CAREY & CO LLC             COM            92930Y107    1,096,786      43,317       X        28-5284    43317
                                                             466,192      18,412       X    X   28-5284    18412
               COLUMN TOTAL                               13,631,888






                                                                                                                   FILE NO. 28-1235
 PAGE   193 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WPP GROUP PLC                  SPON ADR 0905  929309409        2,713          45       X        28-5284       45

WPS RESOURCES CORP             COM            92931B106      162,589       3,278       X        28-5284     3278
                                                             631,160      12,725       X    X   28-5284    12725
                                                             248,000       5,000       X    X   28-4580     5000

WSFS FINL CORP                 COM            929328102       92,175       1,500       X        28-5284      900                 600
                                                              30,725         500       X    X   28-5284                          500
                                                              15,916         259       X        28-4580      259

WVS FINL CORP                  COM            929358109       32,800       2,000       X        28-5284     2000

WABASH NATL CORP               COM            929566107       10,460         681       X        28-5284      681
                                                               4,608         300       X    X   28-5284      300

WABTEC CORP                    COM            929740108    2,930,290      78,350       X        28-5284      700               77650
                                                           7,610,713     203,495       X    X   28-5284    49250              154245
                                                          13,703,435     366,402       X        28-4580   366402

WACHOVIA CORP 2ND NEW          COM            929903102   58,630,778   1,084,149       X        28-5284  1035289       400     48460
                                                          59,176,012   1,094,231       X    X   28-5284  1053599      7835     32797
                                                          13,046,367     241,242       X        28-1500   238942      2300
                                                           2,126,534      39,322       X        28-4580    39212                 110
                                                           1,539,928      28,475       X    X   28-4580    28475

WADDELL & REED FINL INC        CL A           930059100       24,672       1,200       X        28-5284     1200

WAL MART STORES INC            COM            931142103   94,194,605   1,955,462       X        28-5284  1860264       800     94398
                                                          77,171,134   1,602,058       X    X   28-5284  1542654     11780     47624
                                                             563,252      11,693       X        28-1500              11693
                                                           1,436,285      29,817       X        28-4580    29271                 546
                                                             632,376      13,128       X    X   28-4580    11928                1200

WALGREEN CO                    COM            931422109   60,997,915   1,360,346       X        28-5284  1239151              121195
                                                          36,234,756     808,090       X    X   28-5284   791036               17054
                                                             900,477      20,082       X        28-1500      844     19238
                                                              35,872         800       X        28-4580      800
                                                              14,573         325       X    X   28-4580      325

WARNACO GROUP INC              COM NEW        934390402       30,093       1,611       X        28-5284     1611

WARREN RES INC                 COM            93564A100       58,546       4,077       X        28-5284     4077
               COLUMN TOTAL                              432,289,759






                                                                                                                   FILE NO. 28-1235
 PAGE   194 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WASHINGTON MUT INC             COM            939322103   55,121,261   1,209,330       X        28-5284  1168381               40949
                                                          21,742,253     477,013       X    X   28-5284   443063      6350     27600
                                                             275,759       6,050       X        28-1500     6050
                                                             351,239       7,706       X    X   28-1500     7706
                                                          10,146,837     222,616       X       28-11439   222616
                                                              69,510       1,525       X        28-4580     1525
                                                             337,292       7,400       X    X   28-4580     7400

WASHINGTON POST CO             CL B           939640108      195,003         250       X        28-5284      250
                                                             315,124         404       X    X   28-5284      244                 160
                                                               1,560           2       X    X   28-4580                            2

WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101       80,740       2,200       X        28-5284     2200
                                                             267,910       7,300       X    X   28-5284     7300
                                                              91,750       2,500       X    X   28-4580     2500

WASHINGTON SVGBK FSB WALDRF    COM            939696100       21,475       2,500       X    X   28-5284     2500

WASHINGTON TR BANCORP          COM            940610108      113,513       4,095       X    X   28-5284     4095

WASTE CONNECTIONS INC          COM            941053100       41,314       1,135       X        28-5284      760                 375

WASTE MGMT INC DEL             COM            94106L109    2,692,615      75,045       X        28-5284    36445               38600
                                                           1,443,775      40,239       X    X   28-5284    22539               17700
                                                              26,838         748       X    X   28-1500      748

WATERS CORP                    COM            941848103   33,359,185     751,333       X        28-5284   708203               43130
                                                           7,256,470     163,434       X    X   28-5284   157402      3275      2757
                                                             681,762      15,355       X        28-1500     7875      7480

WATSCO INC                     COM            942622200       19,202         321       X        28-5284      321
                                                              11,964         200       X    X   28-5284                          200

WATSON PHARMACEUTICALS INC     COM            942683103      338,701      14,549       X        28-5284    14549
                                                              15,132         650       X    X   28-5284                          650
                                                               4,563         196       X    X   28-1500      196

WAUSAU PAPER CORP              COM            943315101       53,435       4,292       X        28-5284     4292

WAVE SYSTEMS CORP              CL A           943526103        4,690       7,000       X        28-5284     7000

WEB COM INC                    COM NEW        94732Q100        1,469         246       X        28-5284      246
               COLUMN TOTAL                              135,082,341






                                                                                                                   FILE NO. 28-1235
 PAGE   195 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WEBEX COMMUNICATIONS INC       COM            94767L109       71,080       2,000       X    X   28-5284     2000

WEBSENSE INC                   COM            947684106        1,479          72       X        28-5284       72

WEBSIDESTORY INC               COM            947685103       67,100       5,500       X        28-5284     5500

WEBSTER FINL CORP CONN         COM            947890109      270,882       5,710       X        28-5284     5010                 700
                                                             148,392       3,128       X    X   28-5284      528      2000       600

WEINGARTEN RLTY INVS           SH BEN INT     948741103    1,629,771      42,575       X    X   28-5284    41075                1500

WEIS MKTS INC                  COM            948849104       10,300         250       X        28-5284      250

WELLCARE HEALTH PLANS INC      COM            94946T106       19,620         400       X    X   28-5284                          400

WELLPOINT INC                  COM            94973V107   29,751,505     408,843       X        28-5284   398348       600      9895
                                                          11,739,111     161,318       X    X   28-5284   145290      2750     13278
                                                             150,197       2,064       X        28-1500               2064
                                                             806,219      11,079       X        28-4580    10694                 385
                                                             168,826       2,320       X    X   28-4580     2320

WELLS FARGO & CO NEW           COM            949746101  128,285,335   1,912,423       X        28-5284  1905003                7420
                                                         133,009,108   1,982,843       X    X   28-5284  1929065     25200     28578
                                                             286,096       4,265       X        28-1500               4265
                                                           1,057,047      15,758       X        28-4580    15758
                                                           1,011,768      15,083       X    X   28-4580    15083

WENDYS INTL INC                COM            950590109      155,285       2,664       X        28-5284     2664
                                                             124,099       2,129       X    X   28-5284     2129

WERNER ENTERPRISES INC         COM            950755108       52,844       2,607       X        28-5284     2607

WESBANCO INC                   COM            950810101    2,280,678      73,594       X        28-5284    73594
                                                             564,638      18,220       X    X   28-5284    18220

WESCO INTL INC                 COM            95082P105       58,650         850       X        28-5284      850
                                                           1,411,050      20,450       X    X   28-5284    20450

WEST PHARMACEUTICAL SVSC INC   COM            955306105       46,076       1,270       X    X   28-5284      600                 670

WESTAIM CORP                   COM            956909105        3,593         750       X        28-5284      750
               COLUMN TOTAL                              313,180,749






                                                                                                                   FILE NO. 28-1235
 PAGE   196 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WESTAR ENERGY INC              COM            95709T100       68,223       3,241       X        28-5284     3241
                                                              16,840         800       X    X   28-5284      800

WESTERN ASSET CLAYMORE US TR   COM SH BEN INT 95766Q106        8,912         800       X        28-5284      800

WESTERN DIGITAL CORP           COM            958102105       11,074         559       X        28-5284      559

WESTERN GAS RES INC            COM            958259103      210,193       3,512       X        28-5284     3512

WESTERN REFNG INC              COM            959319104        4,316         200       X    X   28-5284      200

WESTPAC BKG CORP               SPONSORED ADR  961214301       25,251         293       X        28-5284      293
                                                                 517           6       X    X   28-5284        6

WESTSIDE ENERGY CORP           COM            96149R100       11,680       4,000       X    X   28-5284     4000

WEYERHAEUSER CO                COM            962166104      652,069      10,475       X        28-5284    10475
                                                           1,168,744      18,775       X    X   28-5284    18775
                                                              12,886         207       X        28-1500                207

WHIRLPOOL CORP                 COM            963320106      144,472       1,748       X        28-5284     1748
                                                             150,423       1,820       X    X   28-5284     1420                 400
                                                               1,901          23       X    X   28-1500       23

WHITNEY HLDG CORP              COM            966612103      127,332       3,600       X        28-5284     2100                1500
                                                             424,971      12,015       X    X   28-5284     6765                5250

WHOLE FOODS MKT INC            COM            966837106      182,026       2,816       X        28-5284     2816
                                                             445,693       6,895       X    X   28-5284     6495                 400
                                                              12,928         200       X    X   28-4580      200

WILD OATS MARKETS INC          COM            96808B107       72,520       3,700       X        28-5284     3700
                                                              19,600       1,000       X    X   28-5284     1000

WILEY JOHN & SONS INC          CL A           968223206      139,440       4,200       X        28-5284     2700                1500
                                                             424,130      12,775       X    X   28-5284    10675                2100

WILLIAMS COS INC DEL           COM            969457100      289,921      12,411       X        28-5284    12411
                                                             559,472      23,950       X    X   28-5284    17200                6750

WILLIAMS SONOMA INC            COM            969904101       37,455       1,100       X        28-5284     1100
                                                              13,620         400       X    X   28-5284      400
                                                              69,734       2,048       X    X   28-1500     2048
               COLUMN TOTAL                                5,306,343






                                                                                                                   FILE NO. 28-1235
 PAGE   197 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WILLOW GROVE BANCORP INC NEW   COM            97111W101       41,064       2,581       X        28-5284     2581

WILMINGTON TRUST CORP          COM            971807102    3,322,476      78,769       X        28-5284    78569                 200
                                                           1,002,492      23,767       X    X   28-5284    22067                1700
                                                             838,243      19,873       X        28-4580    19873
                                                           5,494,325     130,259       X    X   28-4580   128030                2229

WILSHIRE BANCORP INC           COM            97186T108      306,340      17,000       X    X   28-5284    17000

WIMM BILL DANN FOODS OJSC      SPONSORED ADR  97263M109        1,958          50       X        28-5284       50

WIND RIVER SYSTEMS INC         COM            973149107        1,780         200       X    X   28-5284      200

WINDROSE MED PPTYS TR          COM            973491103       21,900       1,500       X        28-5284     1500
                                                              16,878       1,156       X    X   28-1500     1156

WINNEBAGO INDS INC             COM            974637100          310          10       X        28-5284       10

WIPRO LTD                      SPON ADR 1 SH  97651M109       14,665       1,143       X    X   28-5284     1143

WIRELESS FACILITIES INC        COM            97653A103        7,227       2,628       X        28-1500     2628

WISCONSIN ENERGY CORP          COM            976657106      132,909       3,298       X        28-5284     3298
                                                              99,743       2,475       X    X   28-5284     2475
                                                              32,240         800       X    X   28-4580      800

WORLD WRESTLING ENTMT INC      CL A           98156Q108        1,351          80       X        28-5284       80

WORTHINGTON INDS INC           COM            981811102      335,242      16,002       X        28-5284    16002
                                                             119,415       5,700       X    X   28-5284     5700

WRIGLEY WM JR CO               COM            982526105    7,597,845     167,501       X        28-5284   167401                 100
                                                           5,945,199     131,067       X    X   28-5284   128492      1100      1475
                                                              26,218         578       X    X   28-1500      578
                                                             165,020       3,638       X        28-4580     3638
                                                              20,412         450       X    X   28-4580      450

WYETH                          DBCV         1 983024AD2      312,300       3,000       X        28-5284     3000
               COLUMN TOTAL                               25,857,552






                                                                                                                   FILE NO. 28-1235
 PAGE   198 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
WYETH                          COM            983024100  135,963,968   3,061,562       X        28-5284  2979168       900     81494
                                                         122,200,777   2,751,650       X    X   28-5284  2510821     17625    223204
                                                             440,725       9,924       X        28-1500     4102      5822
                                                           3,045,327      68,573       X        28-4580    68350                 223
                                                           4,087,008      92,029       X    X   28-4580    88969                3060

WYNN RESORTS LTD               COM            983134107        4,178          57       X    X   28-5284       57
                                                               1,906          26       X    X   28-4580        6                  20

XM SATELLITE RADIO HLDGS INC   CL A           983759101       61,603       4,205       X        28-5284     4205
                                                              20,422       1,394       X    X   28-5284     1394
                                                               2,930         200       X    X   28-1500      200
                                                              29,300       2,000       X       28-11439     2000

XTO ENERGY INC                 COM            98385X106      150,916       3,409       X        28-5284     3409
                                                             583,434      13,179       X    X   28-5284    13179
                                                           1,903,610      43,000       X       28-11439    43000
                                                               4,427         100       X    X   28-4580      100

X-RITE INC                     COM            983857103       21,980       2,000       X    X   28-5284                         2000

XCEL ENERGY INC                COM            98389B100      394,187      20,552       X        28-5284    20552
                                                             875,260      45,634       X    X   28-5284    45634
                                                              99,813       5,204       X    X   28-4580     5204

XILINX INC                     COM            983919101      477,915      21,100       X        28-5284    21100
                                                              19,253         850       X    X   28-5284      850
                                                               4,530         200       X    X   28-1500      200

XENOPORT INC                   COM            98411C100       18,110       1,000       X        28-5284     1000

XEROX CORP                     COM            984121103      547,456      39,357       X        28-5284     9557               29800
                                                             295,309      21,230       X    X   28-5284    14230                7000
                                                               6,343         456       X    X   28-1500      456
                                                              12,936         930       X        28-4580      930
                                                              42,732       3,072       X    X   28-4580     3072

YAK COMMUNICATIONS INC         COM            984208207          594         200       X    X   28-5284      200

YRC WORLDWIDE INC              COM            984249102       61,481       1,460       X        28-5284     1460
                                                             176,862       4,200       X    X   28-5284     4200
               COLUMN TOTAL                              271,555,292






                                                                                                                   FILE NO. 28-1235
 PAGE   199 OF   200             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
YAHOO INC                      COM            984332106      475,035      14,395       X        28-5284    14395
                                                             535,293      16,221       X    X   28-5284    16221
                                                               3,300         100       X        28-1500                100
                                                           2,910,600      88,200       X       28-11439    88200

YANZHOU COAL MNG CO LTD        SPON ADR H SHS 984846105       24,951         676       X        28-5284      676

YARDVILLE NATL BANCORP         COM            985021104       42,876       1,200       X        28-5284     1200
                                                              35,730       1,000       X    X   28-5284                         1000

YORK WTR CO                    COM            987184108          717          30       X    X   28-5284       30

YOUBET COM INC                 COM            987413101      145,369      30,097       X    X   28-5284                        30097

YOUNG INNOVATIONS INC          COM            987520103       70,460       2,000       X    X   28-5284     2000

YUM BRANDS INC                 COM            988498101    5,499,387     109,397       X        28-5284   107847                1550
                                                           3,219,140      64,037       X    X   28-5284    58127       100      5810
                                                              27,598         549       X        28-4580      549
                                                              12,769         254       X    X   28-4580      254

ZALE CORP NEW                  COM            988858106       99,974       4,150       X    X   28-5284                         4150

ZEBRA TECHNOLOGIES CORP        CL A           989207105        6,149         180       X        28-5284      180
                                                              51,752       1,515       X    X   28-5284     1515
                                                              20,735         607       X    X   28-1500      607

ZEVEX INTL INC                 COM PAR $0.04  98950E400        2,430         150       X        28-5284      150

ZIMMER HLDGS INC               COM            98956P102   26,012,132     458,606       X        28-5284   445482               13124
                                                          12,898,468     227,406       X    X   28-5284   215355      3909      8142
                                                              29,494         520       X        28-1500                520
                                                             187,063       3,298       X        28-4580     2978                 320
                                                             943,367      16,632       X    X   28-4580    16481       151

ZIONS BANCORPORATION           COM            989701107      815,798      10,467       X        28-5284    10177                 290
                                                             289,547       3,715       X    X   28-5284     2125      1590

ZIX CORP                       COM            98974P100          420         500       X        28-5284      500

ZORAN CORP                     COM            98975F101       25,143       1,033       X        28-1500     1033

ZONES INC                      COM            98976N103        5,733         900       X        28-5284      900
               COLUMN TOTAL                               54,391,430






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

                                                                                     ITEM 6:
                                                                        ITEM 5:    INVESTMENT                      ITEM 8:
                                               ITEM 3:      ITEM 4:    SHARES OR   DISCRETION    ITEM 7:       VOTING AUTHORITY
     ITEM 1:                      ITEM 2:       CUSIP     FAIR MARKET  PRINCIPAL   (B)SHARED    MANAGERS          (SHARES)
NAME OF ISSUER                 TITLE OF CLASS  NUMBER        VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
------------------------------------------------------------------------------------------------------------------------------------
                                                                                               
ZWEIG FD                       COM            989834106        8,603       1,614       X        28-5284     1614
                                                               4,323         811       X    X   28-5284      811

ZWEIG TOTAL RETURN FD INC      COM            989837109        9,704       2,005       X        28-5284     2005
                                                              13,378       2,764       X    X   28-5284     2764

ZYMOGENETICS INC               COM            98985T109       11,382         600       X        28-5284      600

ZOLL MED CORP                  COM            989922109       55,692       1,700       X        28-5284     1700
               COLUMN TOTAL                                  103,082
                GRAND TOTAL                           23,990,845,895







 PAGE     1 OF     1             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/06

         ENTITY TOTALS                                  FAIR MARKET                         ENTITY                    UNITS
                                                                                                             
                                                         22,437,574,117                     28-5284                480,041,501
                                                            291,380,826                     28-1500                  9,627,788
                                                            120,225,884                     28-11439                 3,869,009
                                                            540,711,458                     28-4580                 11,368,087
                                                            600,953,610                                              4,825,515
      GRAND TOTALS                                       23,990,845,895                                            509,729,900
  NUMBER OF ISSUES                                                2,871